Role and responsibilities:Responsible for all statutory and management financial information and reports for each center in terms of quality, accuracy,completeness, timeliness, presentation, and relevance.overall responsibility for maintaining accounts for centers.This includes the following functions:-Voucher Entry and Bookkeeping on Tally for each Center-Utilization Certificates for grants as required-Project accounts-Asset Register for Centres, updated monthly*Ownership of-Management accounts for each Centre-Balance sheet and P&L for each Centre-Revenue and cash forecasts at Centre level-Cash flow for Centres\xe2\x88\x99Responsible for accuracy and quality of information relating to their center(s) for the internal and external statutory audits.\xe2\x88\x99Regular and timely reporting of Management Accounts and accurate forecasts of KPIs for each Centre\xe2\x88\x99Responsible for regular discussion, interaction, and communication with senior people in the Centres to ensure that they are aware of the Centres finances and accounting position.\xe2\x88\x99Able to deputise for others in the team in their absence
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