Key Responsibilities :
• Financial Reporting :
• Prepare and submit daily, weekly, and monthly financial reports for site operations.
• Ensure timely reconciliation of site accounts, including petty cash, subcontractor payments, and project expenses.
• Provide detailed reports on the financial status of the site, including cost-to-date, variance analysis, and forecasts.
• Budget Management :
• Assist in the preparation and monitoring of the site budget and cash flow.
• Track and control site costs to ensure the project stays within budget.
• Identify potential cost-saving opportunities and report any financial discrepancies to the project management team.
• Invoice Management :
• Process and verify subcontractor and supplier invoices against contract terms and site agreements.
• Ensure that all invoices are paid in a timely manner and according to agreed payment schedules.
• Maintain accurate records of all financial transactions and ensure compliance with contractual obligations.
• Site Cash Management :
• Oversee the daily management of petty cash, including disbursement, recording, and reconciliation.
Maintain and control petty cash records, ensuring all disbursements are supported by valid receipts and documentation.
Job Type: Full-time
Pay: ?20,000.00 - ?30,000.00 per month
Benefits:
• Food provided
Schedule:
• Day shift
Education:
• Bachelor's (Preferred)
Experience:
• Accounting: 3 years (Preferred)
• Tally: 2 years (Preferred)
• total work: 3 years (Preferred)
Work Location: Remote
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