Junior Manager - F&A

Date: 21 Aug 2026

Location: Cargo-Vishakhapatnam (PG15CR01), IN

Company: GMR Group

JOB PURPOSE

Co-ordination between Corporate Finance, SSC and Corporate teams providing inputs on MIS, Project, Planning, Operations, Procurement And Routine Accounting etc.Supporting in AOP preparation as per GAAP and IndAS.MIS preparation by accumulating the data from SAP and prepare the MIS,Analyzation of AOP vs actual expenses after preparation.Facilitation of Statutory as well internal Audits of the Bhogapuram Cargo on projected time.To take cognizance of matters related to treasury including investments of surplus funds

ORGANISATION CHART

JM- F&A  will report to CFO- Cargo Platform 

 

KEY ACCOUNTABILITIES

Accountabilities Key Performance Indicators
Accounting & SAP
  • SAP entries including prepaid run and depreciation review.
  • Invoice booking and submission to mailroom.
  • Vendor reconciliation and employee imprest claim processing.
  • Petty cash management (collections & payments as per GMR policy).
Banking & Treasury
  • BG (Bank Guarantee) tracking and management.
  • Daily cash flow monitoring and treasury operations.
  • Preparation of payment letters, NEFT transactions, and vendor payments.      .
Compliance & Reporting
  • Preparation of GST challans and TDS challans.
  • Ensure statutory compliance with financial regulations.
  • RPT disclosure and Support in AERA filing.
  • Coordination with auditors and regulatory authorities.
Financial Analysis & MIS
  • Monthly MIS preparation and reporting.
  • Budget preparation, monitoring, and variance analysis.
  • Support in financial planning and strategic decision-making.
Support in Finalization of books of account
  • Preparation of Financials for quarter ended and year ended finalization as per GAAP and INDAS.
  • Preparation of RPT & BPC data for the consolidation with GMR financials
  • General accounting for the month end, quarter end, year-end closing & variance analysis
Preparing monthly basis intercompany accounts reconciliations and close all the pending transactions on time
Project Capitalization and Fixed Asset Register (FAR)
  • Review of project capitalization based on the CCNs.
  • Ensure correctness of Depreciation
  • Quarterly review of FAR and highlighting the variations
Support in Reports to Regulatory Authority and Funding Agency
  • Mentoring and monitoring the preparation of reports to be submitted to the regulatory authority.
  • Review and ensure timely submission of the reports, aegis the zero-tolerance activity

 

KEY ACCOUNTABILITIES - Additional Details

EXTERNAL INTERACTIONS

  • Interacting with the Regulatory authority and funding agency to comply with their report requirements.
  • Interacting with Statutory Bodies (Income Tax Dept., ITAT, Service Tax and GST department).
  • Interacting with funding agencies (Banks, Financial Institutions).
  • Interacting with auditors and accounting firms for external audit related matters.

INTERNAL INTERACTIONS

  • Interacting with other verticals within Finance department including SSC Team.
  • Interacting with all other departments i.e. Legal, Commercial, Procurement, Operations, HR, P&E, IT with in HQ 
  • Interacting with Taxation, Secretarial, Account closing team.
  • Interacting with SAP team for process improvement and automation.
     

FINANCIAL DIMENSIONS

OTHER DIMENSIONS

EDUCATION QUALIFICATIONS

Bachelor/Master degree in commerce, Accounting, Finance, or related field.

RELEVANT EXPERIENCE

2-5 years of experience of which at least 1 years’ experience in Project Accounting, Taxation & Audit, Treasury, Capitalization and FAR Management

COMPETENCIES

  • Entrepreneurship
  • Capability Building
  • Social Awareness
  • Planning & Decision Making
  • Execution & Results
  • Strategic Orientation
  • Problem Solving & Analytical Thinking
  • Networking
  • Personal Effectiveness
  • Teamwork & Interpersonal influence
  • Stakeholder Focus