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Assistant Manager - Accounts

1.To manage Asset Work Bench, Capitalize CIP Asset as per company Standard & Accounts Law, Prepare Mass Addition, Post Mass Addition by the end of every month.

2.To enter & Post Journals. ,Run financial Reports , GL Trial

Receivables, Payables, Knowledge of GST, AP vs GL Reco. Head wise accounting.

3.Verification & Authorization of supplier bills vouchers entered ERP System within 3 days of receipt from Stores.

Passing Employees Bills Medical, LTA, Travelling, Telephone, Toll, Freight, Electricity, Guest Houses, Canteen & other service bill Checking as

well as booking of venders Service Bill within 3 days.

4.Preparation of details for Tax Audit, Statutory Audit, Internal Audit for stipulated period.

5.Physical verification of WIPon monthly basis.

6.Releasing payments through Cash book & Bank book as per funds allocation on daily basis.

Close Cash Book & Bank Book on daily basis.

7.Monthly Expenses booking, TDS Reconciliation, Inter Unit Reconciliation, Vendors Reconciliation, Employees Accounts Recompilation. Expenses Detail, Travelling Detail, Scrap Detail, Salary, and Cont. Salary.

Qualifications

B. Com/M.com/MBA finance with 5+/2+ yrs of experience as a accountant in a reputed industry.

Primary Location

IN-IN-Jammu

Work Locations

Packaging Jammu 1

Line-3,Phase-I SIDCO Industrial Complex, Unit-IJammu

Jammu 181133

Job

Finance & Accounts

Organization

Packaging Jammu - I

Regular

Employee Status

Team Leader

Job Level

Day Job

Travel

No

Job Posting

Sep 19, 2026, 10:03:19 AM

Skills

  • Fixed Asset Accounting
  • Journal Entries
  • GST Compliance
  • TDS Reconciliation
  • Inter-Unit Reconciliation
  • Statutory Audit Support
  • ERP Accounting Systems

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