PF Accounts
8 hours ago
To support SH Accounts in optimizing and analyzing manufacturing cost by preparing costing reports, analyzing actual manufacturing costs with respect to budget, last month, last year and with other group companies. Prepare variance analysis report of manufacturing fixed overheads and variable overheads with respect to budgeted cost and finding area of improvement for the Unit. Preparation of other periodic financial reports to comply with the requirement of quarterly, half yearly and yearly closing of books and submission of various details to the Auditors.
Job Context & Major ChallengesJob Context: UltraTech Cement Ltd. is the largest manufacturer of grey cement, Ready Mix Concrete (RMC) and white cement in India. The company has consolidated capacity of Million Tons Per Annum (MTPA)* of grey cement. UltraTech Cement has 23 integrated plants, 1 clinkerisation plant, 26 grinding units and 7 bulk terminals. Sewagram Cement Works was acquired by UltraTech Cement Limited from erstwhile M/S Jaiprakash Associated Limited in the year 2015. The plant was commissioned in 2009 and has a clinker capacity of 3.63 MTPA and cement capacity of 3.1 MTPA. The Unit has mines with limestone reserve of MT, a captive jetty, a desalination plant that can filter around 6600 KL of water every and two captive power plant of combined capacity of 57.5 MW and there is no Board Power available. The plant also has an environmental cell which monitors air and water quality, audits, and conducts marine ecological studies and environmental studies of mines and nearby villages.
Sewagram has always maintained high level of operational performance and stands tall, as a symbol of 'Sustainable Industrial Development'. Today, unit is acknowledged as one of the most efficient, vibrant, productive, profitable, technologically updated and state-of-the-art unit of Sewagram Birla Group's UltraTech Cement Business.
The focus area for Job holder is to ensure proper accounting of various expenses in the system and compile financial data for timely closing of accounts and complying with statutory requirements and Insurance activities ,capitalization related activities, fund planning activities, salary and wages payment , bank reconciliation. The position is also responsible for providing timely and accurate information to Management for taking strategic decisions, co-ordination with CFD,UKSC and P&B cell for report /information required and will be responsible for handling various audits (Internal/External).
Major Challenges: -
- To improve Financial awareness of employees to utilize new and existing software with accuracy mentioning proper GL Code, Cost Centre, budget forecast and expenses.
- To resolve quarry raised by UKSC team instead of sent all required documents.
- Ensuring accuracy/ timely compliance in view of the high volume of transactions.
Implement established and approved accounting system to ensure financial discipline, to prevent irregularities and fulfill statutory requirements.-Monitor and scrutinize the accounting activities of the Unit.
-Review of accounts related to Cash, Bank, Inter-Unit, Loans, expenses, Fixed assets, and parties.
-Identification and coordination for correction of accounting done by UKSC team.
-Performing monthly/quarterly/annual closing related activities of general accounts.
-Authenticate financial JV's, Block JV's Cash & Bank vouchers, TA bills statements, update & review Income Tax.
-Interact with stakeholders (inside & outside Unit) and reply to their queries.
-Daily coordination & review of fund requirements with UKSC.KRA2Preparing Flash & Weekly Costing Report-Prepare weekly Flash cost report.
-Coordinate for Provision data for the month from all the departments of the Unit.
-Prepare reports of collected provision from various departments, analyzing and summarizing data for preparation of MIS.
-Trial balance scrutiny on monthly basis, to ensure proper booking of expenses.
-Ensure suppliers account reconciliation and short out issues related to bill passing with coordination of various departments of the Unit.
-Adoption of best practices by team members.KRA3Preparing Flash & Weekly Costing Report
Accounting of UCWF (CSR expenses) other entities like ABPS, etc.-Ensure timely preparation of Budget of all entities.
-Bill passing and payment of UCWF related activities.
-Monitor fund planning of all the entities.
-Review of transactions of all the entities and suggest scope of improvement.KRA4Focus on SHE (Safety, Health & Environment) along with Sustainability initiatives-Ensuring 100% compliance of all safety standards and all applicable recommendations related to their concerned area.
-Educating team about "I know my job", "I know the hazards associated with my job and I applied control measures" & "I escalate to my senior" among manpower deployed in sections/department manpower including peer, WB & CL manpower
-Timely conducting scheduled SO round and reporting of -accidents, incidents and near misses on occurrences in the area of concern in system.
-Active participation in safety training, safety sub committees, standard champions meeting and any safety event.
-Ensure good housekeeping, limited use of power, no leakage of water, oil, air etc. and reporting concerned if any abnormalities for corrective action.
-Adhering of all safety precautions on the site and off the site
Replicating good practice for saving environment for long run sustainability and creating awareness among manpower to save guard natural resources.KRA5Ensuring IMS & WCM Compliances-100% Adhere ABOEF related activity like Kaizen, OPL, Suggestion, Good to find as per defined target.
-Assigning & Implementation of all approved suggestions
BCE & 5S score of concern GRT's.
-Developing of New Model area and sustaining current model area.
-Ensure to conduct quarter audit by cross function GRT team.
-Ensuring documentation and conformity to IMS & ISO standards.
-Encouraging teams to actively participate in IMS and WCM activities.KRA6Vendor/Supplier ClearingIncase of fuel advance payment made to suppliers after receiving of material and bill passed adjust the advance against bill pass and nullify the supplier account.
-
PF Accounts
14 hours ago
Gujarat, India, SCW, Sewagram. Cement Full time ₹ 5,00,000 - ₹ 12,00,000 per yearJob PurposeTo prepare various cost reports & extend support to SH Accounts in analysis of actual cost in different ways w.r.t. budget, last month, last years and working out for reason of variation to identify area of optimization in manufacturing cost. Cost working includes manufacturing fixed cost, variable cost and operating parameters of the plant and...
-
Pf Process
5 days ago
Gujarat, India Aditya Birla Group Full time**Designation**:Assistant Manager **Updated**:February 05, 2025 **Location**:Gujarat, India **Organization**:Cement ***2. Reduction in mill tripping specially in rainy season and to maintain optimum production.**: **Key Result Areas**: **KRA (Accountabilities) (Max 1325 Characters)** **Supporting Actions (Max 1325 Characters)** - KRA1 - 1.Production &...
-
Accounts Assistant
5 days ago
India Spintly Full timeAs an “**Accounting Assistant”** you will ensure that the company’s daily accounting functions run accurately and effectively. Your responsibilities include but are not limited to: **Responsibilities**: - Collect and sort invoices and checks - Keep a thorough record of business transactions and enter data from daily work logs into the company’s...
-
Indian Accounting
1 week ago
India Bloom Consulting Services Full timeNot Disclosed Experience **1 - 8 Years** Offered Salary **Lakh** Notice Period **Not Disclosed** - Tally Usage (ERP 9), data entry of accounts up to finalization - Bank Reconciliation Statement - Handling Tax payment issues - Petty cash (preparing vouchers, making entries using Tally) - Bank Voucher (preparing vouchers, making entries using Tally) - To...
-
Us Accounting
1 week ago
India Bloom Consulting Services Full timeNA Experience **1 - 8 years** Offered Salary Notice Period **Not Disclosed** - Hands on working experience with Quick Books - Bank Reconciliation Statement - Handling Tax payment issues - Petty cash (preparing vouchers, making entries using Tally) - Bank Voucher (preparing vouchers, making entries using Tally) - To coordinate with all professional...
-
Us Accounting
5 days ago
India Bloom Consulting Services Full timeNot Disclosed Experience **1 - 8 Years** Offered Salary **Lakh** Notice Period **Not Disclosed** - Hands on working experience with Quick Books - Bank Reconciliation Statement - Handling Tax payment issues - Petty cash (preparing vouchers, making entries using Tally) - Bank Voucher (preparing vouchers, making entries using Tally) - To coordinate with...
-
Account Executive
2 weeks ago
India Convergence IT Services Full time**Roles & Responsibilities**: Manage day to day accounting activities Documents financial transactions by entering account information. Guides accounting clerical staff by coordinating activities and answering questions. Secures financial information by completing database backups. Prepares payments by verifying documentation, and requesting...
-
Accounts Executive
6 days ago
Ahmedabad, Gujarat, India CELLCURE CANCER CENTRE PVT LTD Full timeDesignation : Accounts Executive Knowledge of Tally is must. Hospital background preferred. Should be familiar with Salary, PF, GST, IT returns and legal compliances. Pay: ₹32,000.00 - ₹40,000.00 per month **Benefits**: - Health insurance - Provident Fund Work Location: In person
-
Accountant
2 weeks ago
India Gioia Full timeKey Responsibilities: • Maintain and update day-to-day accounting transactions in Tally/ERP system. • Prepare journal entries, ledgers, and trial balance. • Reconcile bank statements and vendor/customer accounts periodically. • Handle accounts payable and receivable, ensuring timely payment and collection. • Manage payroll accounting, employee...
-
Accounts Officer
1 week ago
Ahmedabad, Gujarat, India Rubber King Tyre Full time**Role & Responsibilities**: - **Purchase and TA/DA Bills**: Verify and post RK-2 Purchase Order/Non-PO invoices and TA/DA bills in ERP, ensuring timely closure and confirmation from the plant. - **Inventory Management**: Run monthly Inventory Ageing reports after closing purchase invoices in ERP. - **Petty Cash & Payment Posting**: Regularly verify and...