Plant Finance Executive - Seasonings

ofi · Bengaluru

  • Experience3–4 yrs
  • SalaryNot disclosed
  • Work modeonsite
  • Posted29 Sept 2026

About ofi

ofi is hiring in Bengaluru in agriculture food. This role looks for around 3+ years of experience.

Skills

  • Cost Accounting
  • Management Accounting
  • Financial Controls
  • Taxation
  • Statutory Compliance
  • SAP FI
  • SAP CO
  • SAP MM
  • Microsoft Excel
  • Product Costing
  • Manufacturing Overheads
  • Accounts Payable
  • Accounts Receivable
  • Credit Control
  • Bank Reconciliation
  • Vendor Reconciliation
  • Customer Reconciliation
  • Ledger Reconciliation
  • Intercompany Accounting
  • Fixed Asset Accounting
  • Inventory Accounting
  • GR/IR Clearing
  • TDS Accounting

The role

A plant finance executive at a food manufacturing company manages cost accounting, SAP, and statutory compliance, and handles Microsoft Excel and inventory accounting.

Full job description

Job Description

Job Description

Position Overview

Plant Finance executive role within a manufacturing setup. It heavily focuses on cost accounting, month-end financial closure, working capital management, and statutory compliance.

Qualification

Bachelor's degree in commerce (B.Com) with qualified CMA/CA, Finance, Accounting, or a related discipline.

Strong understanding of Plant, Cost & management accounting, financial controls,basic taxation, and statutory compliance requirements.

Proficiency in SAP (FI/CO/MM modules).

Knowledge of Microsoft Excel, including Pivot Tables, VLOOKUP/XLOOKUP, data analysis, and reporting.

Good analytical, problem-solving, and communication skills.

Ability to manage multiple priorities and work effectively under tight month-end timelines.

Min in 3 to 4 years of experience in handling Manufacturing/Plant finance activities.

Experience In

Handling Monthly GL closing & Reporting and Audits

Knowledge of BOM, product costing and Manufacturing Overheads

Accounts Payable (AP) and Accounts Receivable (AR) management.

Vendor invoice processing and payment management.

Customer collections, credit control, and receivables monitoring.

Bank, vendor, customer, and ledger reconciliations.

Intercompany/Inter-BU transaction accounting.

Fixed Asset Accounting and Asset Capitalization.

Inventory accounting, GR/IR clearing, and stock reconciliations.

TDS accounting, tax reconciliations, and statutory compliance support.

Support in month-end/year-end closing activities and audit handling

Stakeholder management and collaboration with Sales, Procurement, Tax, and Operations teams.

Key Performance Indicators

Timely completion of month-end book closure.

Accuracy of financial postings and reconciliations.

Reduction in aged receivables and overdue balances.

Timely processing of vendor payments and employee reimbursements.

Closure of GR/IR, vendor, customer, and ledger reconciliation items within defined timelines.

Compliance with internal controls, accounting policies, and audit requirements.