Job Description
Responsibilities
- Issuance of Debit Note from Corporate to all Inter company
- Accounting of all Debit note / Credit note received from Corporate and any other Inter company after through review and set process
- Responsible for Inter company account reconciliation and balance confirmation to all other Inter company as part of month end process.
- Vendor Card Creation and Update details as and when required as per process.
- Coordination with GL Coordinator of respective entity for any clarification
- Coordination and follow up with Approver to get approval before posting any GL entry.
- Strong knowledge in GL and reconciliation of GL balance vs. Sub-Ledger
- Downloading various report from ERP during Month end process
- Preparation of MIS Report , Revenue Flash Report and Monthly Report
- Reconciliation of GL Balance vs. Sub-Ledger
- Prepare and review journal entries, reconciliations, and...
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