Sr Executive - Finance And Accounts Accounts Payable

ixigo

Gurugram District

On-site

INR 600,000 - 900,000

Full time

4 days ago
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Job summary

ixigo is seeking an Accounts Payable & Reconciliation professional to manage day-to-day vendor payments, invoice processing, and reconciliations in our Gurugram office. You will ensure GST/TDS compliance and accurate data handling for high volumes of transactions.

You will collaborate with internal teams, vendors, and banking partners, driving timely settlements, monthly closings, and process improvements through automation and Excel-based reporting.

Qualifications

  • Strong understanding of accounting principles and Indian statutory compliance, including GST/TDS.
  • Working knowledge of online transaction processing, including foreign payments and statutory payments (GST/TCS/TDS).
  • Proven ability to work with large volumes of financial data while maintaining accuracy in reconciliation tasks.

Responsibilities

  • Vendor & Business Payments: Initiate daily bank payment requests and ensure timely execution.
  • Vendor Invoice Processing: Process vendor invoices with compliance to TDS and GST.
  • Reconciliations: Bank, inter-company, and vendor reconciliations; close open items timely.
  • Corporate Credit Card Transactions: Review transactions and obtain supporting invoices.
  • Employee Reimbursements: Process weekly reimbursements per policy.
  • Foreign Transactions: Review documentation and initiate remittances per regulations.
  • Issue Resolution: Identify discrepancies and coordinate resolutions.
  • Management Reporting: Prepare reports on Trade Payables, Advances, reconciliation status.
  • Monthly Closing & Audit Support: Ensure timely closing and audit readiness.
  • Process Improvement & Automation: Identify opportunities to automate reconciliation and reporting.

Skills

Accounting principles
GST/TDS compliance
Stakeholder communication
Attention to detail
Multi-tasking

Education

Bachelor's degree in Accounting or Finance

Tools

Microsoft Dynamics 365 Business Central
Power Automate
Scripting for finance workflows
MS Excel
Power Query
VBA

Job description

Job Description
Company Description

Launched in 2007 by Aloke Bajpai & Rajnish Kumar, ixigo (Le Travenues Technology Limited) is a technology company focused on empowering Indian travellers to plan, book and manage their trips across rail, air, buses and hotels. ixigo assists travellers in making smarter travel decisions by leveraging artificial intelligence. The ixigo, ConfirmTkt and AbhiBus apps allow travellers to book train tickets, flight tickets, bus tickets, hotels, and cabs, and provide travel utility tools and services developed using in-house proprietary algorithms and crowd-sourced information. With over 54 crore Annual Active Users in Fiscal 2025, ixigo is the leading OTA for Next Billion Users in India. For more information, please visit http://www.ixigo.com

Job Description
About the Role

We are looking for a detail-oriented Accounts Payable & Reconciliation professional to manage day-to-day vendor and business payments, invoice processing, and reconciliations. The role calls for strong accounting fundamentals, familiarity with Indian statutory compliance (TDS, GST), and the ability to work accurately with high volumes of financial data. You will collaborate closely with internal stakeholders, vendors, and banking partners to ensure timely and compliant processing of transactions.

Key Responsibilities
  • Vendor & Business Payments: Initiate daily bank payment requests received from various stakeholders and ensure timely execution.
  • Vendor Invoice Processing: Process vendor invoices received from different departments accurately, ensuring compliance with applicable statutory requirements such as TDS and GST.
  • Reconciliations: Perform bank, inter-company, and vendor reconciliations, and ensure open line items are closed on a timely basis.
  • Corporate Credit Card Transactions: Review corporate credit card transactions and follow up with cardholders to obtain the supporting invoices and documentation.
  • Employee Reimbursements: Review and process employee reimbursement claims on a weekly basis in line with company policy.
  • Foreign Transactions: Review foreign payment documentation and initiate remittances through the bank in compliance with regulatory requirements.
  • Issue Resolution: Identify discrepancies in invoices and reconciliation items, and coordinate with relevant stakeholders to resolve them promptly.
  • Management Reporting: Prepare periodic reports for management (Trade Payables, Advances, and reconciliation status), summarizing the reconciliation process, discrepancies, and resolutions.
  • Monthly Closing & Audit Support: Ensure timely completion of monthly closing activities and audit schedules, working proactively to avoid negative findings or observations.
  • Process Improvement & Automation: Continuously identify opportunities to automate and streamline reconciliation and reporting tasks to improve efficiency and accuracy.
Qualifications
  • Strong understanding of accounting principles and Indian statutory compliance, including TDS, WHT, and GST.
  • Working knowledge of online transaction processing, including foreign payments and statutory payments (GST / TCS / TDS).
  • Proven ability to work with large volumes of financial data while maintaining accuracy in reconciliation tasks.
  • Advanced proficiency in MS Excel, including Power Query and VBA, for data manipulation and reporting.
  • Strong verbal and written communication skills, with the ability to engage effectively with multiple stakeholders.
  • Ability to manage multiple priorities independently and deliver within tight timelines.
Preferred / Added Advantage
  • Hands-on experience with Microsoft Dynamics 365 Business Central, particularly in financial and AP-related processes.
  • Exposure to automation tools such as Power Automate and scripting for finance workflows.
Additional Information

Responsible for safeguarding sensitive company data against unauthorized access, use, or disclosure, and for reporting any suspected security incidents in line with the organization's ISMS (Information Security Management System) policies and procedures.

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