Site Commercial
Infravision
San Francisco, CA, USA
Posted on Jan 5, 2026
Job description:
- Site Accounting: Maintain books of accounts, ledgers, and vouchers for all site transactions
- Budget Monitoring: Track project budgets, control costs, and report variances to HO finance
- Vendor Payments: Process invoices, verify documentation, and ensure timely disbursements
- Billing Support: Coordinate with execution teams for client billing and milestone tracking
- Cash & Bank Management: Handle petty cash, bank reconciliations, and fund requests
- Compliance: Ensure adherence to statutory norms (GST, TDS, PF, ESI) and internal policies
- Audit Readiness: Prepare documentation for internal/external audits and resolve queries
- MIS Reporting: Submit daily/weekly/monthly financial reports to HO and project leadership
- Coordination: Liaise with procurement, stores, and project teams for financial clarity.