Job description

Description **External Job Description** Daily Activities a Ensuring periodic updation of supplier masters b Passing of freight bills in the system c Giving clearance of freight bills d Preparing Cheque for freight bills after ensuring that all advances are adjusted e Controlling the advances and ensuring their adjustment against subsequent bills Monthly Activities f Coordinating with personnel Department and disbursing Staff salaries g Preparing Bank Reconciliation Statements on time h Ensuring the submission of Monthly reports to various functions i Preparing NSSO returns j Preparing of PF, ESIC returns etc k Doing Reconciliation of Loans of Operators l Filing of temporary pay packets m Doing reconciliation of unpaid salaries and bonus n Ensuring the accuracy of deductions o Highlighting the inaccuracies in bills, orders etc **Competencies** Scientific Rigor Standing for each others success Audacity Integrity Creative Zeal Customer Passion Functional Competency