Accounts Manager Vacancy | Apply Now!

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Prolific International

Accounts Manager Vacancy in Odisha

Accounts Manager Vacancy | PROLIFIC INTERNATIONAL, an authorized channel partner of BPCL MAK Lubricants, requires dynamic individuals for the following positions:

Name of the Organization Prolific International
Name of the Post Accounts Manager
HOW TO APPLY Walk-in Interview
Who Can Apply All Odisha Candidates

Vacancy Details | Accounts Manager Vacancy

Position Number of Positions Experience Required
Accounts Manager 2 3 years experience in Accounts and Taxation

💳Application Fees

There will be No Fees for this requirement

📅Important Dates:

Walk-in Interview on 20.04.2025 and 27.04.2025

Selection Process | Accounts Manager Vacancy

  • Mode of selection will be personal interview.

🖱How to Apply:

Walk-in Interview on 20.04.2025 and 27.04.2025 at OCA Building, Ruby Plaza, A.D. Market, Cuttack-12.

  • Eligible Candidates may apply  Walk-in Interview with latest Resume and other required documents
  • contact us at 8260128812, 8908015506 or Email – admin@prolificinternational.in.

Necessary Documents during interview

  • All original Certificates with xerox copies
  • Aadhar card
  • Passport size photo
  • Experience Certificate if any

📍Address:

OCA Building, Ruby Plaza, A.D. Market, Cuttack-12.

🔗Important Links

View Latest Odisha jobs

Basic Duties of an  Accounting Manager

  • Overseeing Financial Transactions: Ensure the accurate and timely recording of all financial transactions, including accounts payable, accounts receivable, and payroll.
  • Financial Reporting: Prepare and analyze financial statements (balance sheets, income statements, cash flow statements) on a regular basis.
  • Budgeting and Forecasting: Assist in the development and monitoring of budgets and financial forecasts.
  • Tax Compliance: Ensure compliance with all relevant tax laws and regulations, and oversee the preparation and filing of tax returns.
  • Internal Controls: Establish and maintain strong internal controls to safeguard company assets and ensure the integrity of financial data.  
  • Account Reconciliation: Perform regular reconciliations of bank accounts, general ledger accounts, and other financial records.
  • Managing Accounting Staff: Supervise and mentor accounting staff, ensuring efficient and accurate completion of tasks.
  • Liaising with Auditors: Coordinate with internal and external auditors during audits and provide necessary documentation and support.
  • Financial Analysis: Analyze financial data to identify trends, variances, and potential risks or opportunities.
  • Implementing Accounting Policies and Procedures: Develop and implement accounting policies and procedures to ensure consistency and compliance.
  • Cash Flow Management: Monitor and manage the company’s cash flow to ensure sufficient liquidity.
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