Team Member - Accounts - Site
Larsen & Toubro
Record day-to-day financial transactions including invoices, payments, receipts, journal entries, and employee claims accurately in the system. ? Assist in processing vendor bills, coordinating with procurement and site teams for invoice validation and approvals. ? Ensure timely payments to vendors and service providers as per terms, including applicable GST and TDS deductions. ? Perform regular bank reconciliations and resolve discrepancies in coordination with the bank and internal teams.
Support monthly closing activities including ledger scrutiny, preparation of schedules, and financial data reporting. ? Coordinate with internal and statutory auditors for data and documentation during audits and ensure timely resolution of audit queries.