Skip to content
← Back to job listings

Finance Associate - Payable

Blitz · Bengaluru, KA, India

External listingfull-time13 days ago

About The Role

ABOUT COMPANY

Blitz enables Same-Day Delivery for eCommerce brands to provide the best on-time delivery experiences to their customers. Blitz aims to simplify scalability & unlock the growth of new-age eCommerce brands by making Same-Day delivery more convenient, reliable & affordable. Same-Day Delivery helps brands with converting their browsers into buyers, serving as a competitive advantage and reducing working capital challenges. Blitz currently engages with enterprise brands with category focus into Fashion, Beauty & Personal Care and Healthcare; helping them with 30% - 40% increase in their website conversions & increasing retention by 2x by providing best in class experience.

ABOUT THE ROLE

We are looking for a proactive and detail-oriented

Finance Associate

to join our Finance & Accounts team. The ideal candidate will bring a strong foundation in accounts payable, MIS vs Book reconciliation, ledger reconciliation, and financial planning. Prior exposure to the

logistics industry

and working knowledge of

Zoho Books

will be a strong advantage. The role demands high accuracy, ownership, and the ability to manage multiple finance tasks independently.

KEY RESPONSIBILITY AREAS (KRAS)

Job Title

Finance Associate

Department

Finance & Accounts

Reporting To

Finance Manager/ Assistant Manager Finance

Role Type

Full-Time

Experience

Minimum 2 Year in Finance / Accounts role

Platform

  • Zoho Books (mandatory working knowledge)
  • Industry Pref.
  • Logistics / Supply Chain (preferred)

Location

Bangalore

ROLES & RESPONSIBILITIES

Accounts Payable & Invoice Management

  • Record, verify and process vendor invoices accurately in Zoho Books
  • Perform three-way matching of invoices against purchase orders and GRNs
  • Ensure timely vendor payments as per agreed payment terms and schedules
  • Coordinate with vendors for outstanding invoice queries and dispute resolution
  • Maintain and monitor AP aging reports; flag overdue and stressed payments proactively
  • Track GST pending invoices and follow up with vendors for compliance
  • MIS vs Book Reconciliation
  • MIS reports and Zoho Books entries to identify variances
  • Ensure all transactions recorded in MIS are accurately reflected in the books of accounts
  • Investigate and resolve discrepancies between system-level data and actual ledger balances
  • MIS vs Book reconciliation summary to the Finance Manager
  • Maintain audit trail and documentation for all reconciliation adjustments made

Ledger Reconciliation

  • Perform regular vendor and internal ledger reconciliations to ensure accuracy
  • Identify and clear long-pending entries, duplicate payments, and unreconciled items
  • Assist in bank reconciliation statements and resolve mismatches on priority
  • Support in preparation of balance sheet schedules and vendor balance confirmations

Financial Projection & Planning

  • financial projections and cost forecasts
  • Track actual vs projected spends and highlight deviations with commentary payment plans and cash flow projections
  • Maintain and update projection trackers for payables, vendor costs, and operational expenses
  • Contribute to budgeting by providing historical data analysis and trend inputs

MIS Reporting & Zoho Books

  • Manage day-to-day accounting entries, journals, and adjustments in Zoho Books
  • Generate periodic MIS reports — AP aging, vendor-wise payables, cost variance summaries
  • Prepare data for management review meetings including aging analysis and payment forecasts
  • Ensure accurate month-end closing in Zoho Books with all provisions and accruals posted.

REQUIRED SKILLS & COMPETENCIES

  • <B.Com> / <M.Com> / BBA / MBA (Finance)
  • or equivalent — mandatory
  • 2 year of experience
  • in a Finance / Accounts role (AP / AR / General Accounting)

Zoho Books

  • — invoice recording, vendor management, reconciliation
  • MIS vs Book reconciliation
  • and ledger matching
  • Strong understanding of accounts payable workflow, invoice processing, and GST basics

MS Excel

  • — VLOOKUP, pivot tables, SUMIF, data validation
  • Strong attention to detail and ability to meet month-end deadlines independently

This is an external listing. JobSpring does not represent or verify the employer. Report this listing