Finance Manager (Payments)
Aditya Birla Insulators
- Posted On: 2026-04-25 16:19:27
- Openings: 10
- Applicants: 0
Job Description
1) Treasury & Cash Management
- FD for NDC Event Based
- Execute/renew Fixed Deposits (FD) as required for NDC; maintain documentation and accounting entries.
- Coordinate with banks; track maturity, lien, and interest accounting.
- NDC Funding T+3
- Ensure funding requests are processed within T+3 ; maintain supporting schedules and approvals.
- Fund Movement Ongoing
- Initiate and monitor fund movement from Collection A/c to Escrow per daily inflows/outflows and compliance thresholds.
- Maintain maker checker controls and audit trail.
- Prefunding Requirement Daily Monitoring
- Track prefunding levels and trigger topups to avoid transaction failures; maintain daily MIS.
- All Bank Account Monitoring Ongoing
- Monitor balances, holds, charges, interest, and unusual activity across collection, escrow, NDC, and FDlinked accounts .
2) Accounting & Reconciliations
- Bank Reconciliation Daily
- Perform daily bank reconciliations for all PPIlinked accounts; clear open items, investigate variances, and pass rectification entries.
- Accounting in SAP Ongoing
- Post daily journals, accruals, reversals, interaccount transfers, and settlement entries in SAP .
- Maintain GL hygiene, proper cost center tagging, and monthly close schedules.
- Income Booking & Payment Upload Ongoing
- Book interchange/fee income , process payment uploads, and ensure correct TDS/GST implications.
- Coordinate with Ops for settlement files; validate and post entries.
3) Invoicing & GST Compliance
- Bill of Supply Ongoing
- Prepare and issue Bill of Supply /invoice for eligible PPI services; ensure proper tax positions.
- Interchange Income GST Validation & Invoicing Monthly
- Validate monthly interchange income , apply correct GST rate & placeofsupply , and issue invoices.
- Reconcile with gateway/acquirer statements; manage credit notes, amendments, and GSTR linkages.
- GST Filing Monthly
- Prepare workings (B2B/B2C, RCM if any), reconcile with books, and support timely GSTR filings with proofs and trail.
4) Regulatory & Compliance
- RBI Quarterly Escrow Certificate Quarterly
- Prepare workings and documentation for RBImandated Escrow certificate ; coordinate with bank/auditor for issuance.
- Maintain evidence of compliance with PPI guidelines (utilization, settlement timelines, permitted debits/credits).
- Assist in preparation of Net Worth Certificate.
5) Controls, Audit & MIS
- Maintain maker checker controls across fund movements and postings.
- Prepare daily/weekly/monthly MIS on balances, prefunding, recon breaks, invoice status, and compliance calendars.
- Support internal/external audits , respond to queries with schedules and evidence.
- Drive process improvements (automation of reconciliations, templates in SAP, standard SOPs).
More Info
Education
Any Graduate
Not Disclosed
Required Skills
Automation
TDS
SAP
compliance
Accounting
MIS
cash management
Fixed deposits
Contact Details
Aditya Birla Insulators
+91 987654567
abi.domestic@adityabirla.com
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