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Kemin Industries Executive-Finance in Chennai, Indiana

Overview

Location : Chennai

Position Objective :

  • Support the Controller in the finalization and closure of audit.

  • Manage treasury and cash flow forecast

Responsibilities

  • Ensure timely and accurate payments are made to all vendors and statutory payments, vendor & intercompany reconciliations and custodian of office petty cash / FOREX currencies

  • Implementation of Expense Claim Management tool

  • Recommend and Improvement of DPO working with SCM team thru vendor negotiation

  • Automation of Bank Reconciliation process working with the principal Banker

  • Monitoring Fund Flow and preparation of periodic fund flow statement;

  • Preparation of schedules for monthly book closure process;

  • Preparation of schedules for internal / external audit;

  • Compilation of information for Income tax / Transfer Pricing assessments;

  • Planning and preparing documentation and payments - LC / Forex;

  • Planning and routine payment of outstanding payables as per credit terms;

  • Bills of exchange and buyers credit payment – Retiring documents from bank as well arranging payments on due dates;

  • Ensuring on time payment of statutory dues viz PF, ESI, and TDS;

  • Filing of TDS quarterly returns;

  • Review of Bank reconciliation on daily basis,

  • Review of routine creditor’s ledger, advance analysis, netting off, reconciliation and obtaining confirmation of balance on periodic basis;

  • Monitoring intercompany billing and review of monthly reconciliation;

  • Booking of Non PO bills and verifying appropriate approvals, evidence of service/job completion;

  • Handling office petty cash

Qualifications

  • Bachelor’s Degree in Finance and Accounting with 2 to 3 years of experience

LocationIN-Chennai

Posted Date1 week ago(6/29/2020 3:56 AM)

Job ID2020-6326

Positions1

CategoryAccounting/Finance

Position TypeRegular Full-Time

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