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ASSISTANT MANAGER FINANCE & ACCOUNTS VACANCY FOR CA INTER\CMA INTER\BCOM\MCOM\MBA AT AUSTRALIAN FOODS INDIA PVT. LTD.

 

Australian Foods (I) Pvt. Ltd., the makers of Cookie Man cookies commenced its business operations in India in January 2000. The lack of recognized cookie players in India motivated Australian Foods to enter the market and open its first store in Chennai in January 2000. Cookie Man cookies have rapidly grown to become synonymous with international quality and are today the #1 brand of fresh baked cookies in the country. Currently, Cookie Man operates 50 outlets in 17 cities in NCR, Gurgaon, Jaipur, Bhopal, Ahmedabad, Baroda, Surat, Mumbai, Pune, Chennai, Bangalore, Coimbatore, Hyderabad, Kolkata, Mangalore, Bhubaneshwar, Udaipur and Port Blair.

The Cookie Man product line is unique, of high quality and good value for money. In India too, the cookies are made from the finest ingredients available, ensuring that the products meet stringent global quality and consistency guidelines. All cookie dough, toppings and related materials are produced in the Cookie Man Commissary in Chennai.

Cookie Man markets a diverse line of fresh baked Australian cookies in India. There are more than fifty varieties of cookies available. The flavours include Choc Chip, Coffee Walnut, Brandy Snap, Honey and Oats, Coconut Macaroon, Shortbread, Peanut, Ginger and many, many more. Even the famous Australian “Anzac” cookie is available right here in India.


VACANCY DETAILS :-

POST NAME - Assistant Manager Finance & Accounts
QUALIFICATION - CA Inter\CMA Inter\B.COM\M.COM\MBA
EXPERIENCE - 04 To 05 Years
CTC - 4 LPA
LOCATION - Chennai

JOB DESCRIPTION :-

1. To prepare Monthly Profitability statement with Balance sheet and Cash flow

2. Verification of Service and Supply invoices by ensuring statutory obligations are met

3. Verification and posting of monthly Salary statement

4. Coordinating with Internal auditors

5. To track cost against budget

6. New Vendor registration form creation for our customers

7. Revenue Reconciliation

8. To handle various Insurance policies of the company

9. To prepare and post monthly provision in the books

10. To reconcile the statement of accounts received from vendors

11. To ensure making payment to vendors

12. Analyze and report on vendor aging report

13. To train, motivate, and evaluate accounts payable staff members

14. Building and maintaining relationships with employees, clients, vendors, and lenders

15. Developing, implementing, improving, and enforcing budgets, policies, and department controls to increase accuracy and efficiency


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