Mahindra Lifespace Developers Ltd.
o Preparation and finalisation of group entity accounts in a timely and accurate manner. Coordination with Auditors for timely completion of audits. o Managing the non-project related accounts receivable including M&M intercompany related transactions. Ensure proper reconciliation for all the related party transactions. o Responsible to ensure timely compilation of RPT disclosures as per SEBI requirements o Supporting team during Limited reviews and statutory audit, Group reporting requirements in Hyperion o Managing the bank account transactions and ensure accurate & timely accounting in SAP including FD interest, Interest on borrowings etc. o Tracking of the covenants attached to the loans across MLDL entities. o Proper documentation of Mutual Fund investments, loans etc; maintenance of BG tracker o Preparation and presentation of Treasury MIS
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