To support day-to-day finance, accounts, and audit-related activities at the cluster or project level, ensuring accuracy, compliance, and timely reporting of financial transactions. The Team Member – FAA – Cluster assists in maintaining books of accounts, managing payables/ receivables, coordinating with site and corporate teams, and facilitating statutory compliance and audit processes in alignment with organizational policies.
? Maintain project-level books of accounts, vouchers, ledgers, and supporting documents in line with applicable accounting standards and company policies.
? Assist in preparing monthly, quarterly, and annual financial statements, MIS reports, and reconciliations for review by the cluster head.
? Process vendor invoices, coordinate with the contracts team for approvals, and ensure timely payments after necessary checks.
? Monitor receivables and follow up with project and client teams to ensure timely collections and documentation of receipts.
? Coordinate statutory compliance requirements such as GST, TDS, income tax, and support timely filing and returns.
? Support internal, statutory, tax, and cost audits by providing relevant documentation, clarifications, and resolution of audit queries.
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