1. To implement all the financial and commercial systems & processes in Ready Mix Concrete Plant and ensure proper invoicing banking accounting reconciliation and MIS.-Ensures timely invoicing and banking.
2.Prepares and submits periodical reports of sales volumes realizations stocks and receivables and costs to the Head Finance.
3. Prepares Balance Sheet-Manages the fund flow accounting speedy generation of debit / credit notes and timely reconciliation of banks stock and customer .
4. Stores Management-MIS GENERATION ANALYSIS & TAXATION
MBA Finance/ CA Intern with relevant experience.