SW

Senior Executive- Finance

Swiggy
Bangalore3-6 LPA Posted 21 Apr 2025
FULL TIME
Accounts Payable
Gst
Vendor Reconciliation
General Ledger Accounting
Invoice Processing

Job Description

Key Deliverables:

  1. Oversee the team preparing ledgers and initiate communication with vendors for ledger statements.
  2. Conduct reconciliation upon receiving the vendor ledger statements and resolve discrepancies through collaboration with internal and external stakeholders.
  3. Manage vendor relationships, ensuring timely follow-ups and obtaining No Dues Certificates (NDC) post reconciliation closure.
  4. Document resolutions and ensure books are updated accordingly, following proper process controls.

Role Responsibilities:

  1. Handle end-to-end reconciliation and vendor management, ensuring timely closure and accurate accounting.
  2. Collaborate with the procurement team for statement tracking and follow-ups with vendors.
  3. Analyze discrepancies and work with vendors to resolve them, ensuring accurate financial records.
  4. Lead the reconciliation process, maintain documentation, and manage stakeholder communication for seamless resolution of issues.

Join WhatsApp Channel