Job Description
We're looking for a detail-oriented and analytical Income Auditor to join our finance team in Visakhapatnam, India. In this role, you will play a critical part in ensuring the accuracy and integrity of our financial operations through meticulous cash handling, verification, and reconciliation processes. The ideal candidate will bring a strong commitment to transparency, precision, and collaborative teamwork to support our organization's financial health and compliance objectives.
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Collect and verify daily remittances in the presence of a witness, ensuring accuracy and proper documentation
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Conduct thorough analysis and reconciliation of cash transactions to identify and resolve discrepancies
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Maintain detailed records of cash floats and conduct surprise audits on all cashier holdings to ensure compliance
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Prepare comprehensive daily and periodic financial reports with meticulous attention to numerical accuracy
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Update and maintain foreign exchange rates and coordinate bank deposits as required
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Balance cash funds daily and investigate any variances with a cautious and analytical approach
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Track and maintain records of casual labor, official receipts, and movement documentation
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Reimburse front office staff for authorized disbursements and manage petty cash payments on designated days
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Monitor and report over and short records for each cashier to the Financial Controller with full transparency
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Collaborate with team members across departments to ensure seamless financial operations and resolve issues efficiently
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Maintain awareness of organizational fire, life safety, and emergency procedures
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Attend all assigned briefings, meetings, and training sessions to stay current with policies and procedures
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Perform additional duties as assigned by management with flexibility and professionalism
Qualifications
**Education & Certifications**
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Diploma in Accounting or Finance
**Experience**
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Minimum 1 year of experience in a similar income audit or cash handling capacity
**Required Skills & Competencies**
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Proficiency in MS Excel, Word, PowerPoint, and relevant accounting software systems
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Strong written and oral communication skills in English
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Exceptional attention to detail with a commitment to accuracy in all financial transactions
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Advanced analytical and problem-solving abilities
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Proficiency in cash handling procedures and financial reconciliation processes
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Knowledge of audit procedures and compliance requirements
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Ability to work effectively and contribute collaboratively within a team environment
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Self-motivated, energetic, and goal-oriented approach to work
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Strong organizational and time management skills
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Ability to maintain confidentiality and handle sensitive financial information with integrity
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Professional demeanor and well-groomed appearance at all times