Designation : Accountant
Job Description
Company Location: Emprada, 9th Floor, Trendset Jaybheri Connect, Kondapur, Laxmi Cyber City, Whitefields, HITEC City, Hyderabad, Telangana
Company Description : Emprada Mines and Minerals is a diversified commodities and energy company specializing in the manufacture, export, and cross-border supply of industrial and bulk commodities. The company has a global footprint across Asia, the Middle East, Africa, and the Americas and is recognized as a leading manufacturer, exporter, and supplier of Barite. Emprada has grown its Barite exports from 7,000 MT in 2016 to 1,500,000 MT in 2025, demonstrating strong, trusted supply networks and operational scale. In addition to API 13A-specified drilling Barite in multiple grades, the company is expanding into Coal, Limestone, Pet Coke, Iron Ore, and Pig Iron. Its operations are supported by deep expertise in trade finance, foreign exchange management, and multi-party logistics, enabling reliable end-to-end commodity solutions for global partners.
Role Description: This is a full-time, on-site Accountant role based in Hyderabad. The Accountant will be responsible for maintaining accurate books of accounts, including general ledger entries, accounts payable and receivable, bank reconciliations, and expense tracking. The role includes preparing and reviewing invoices, managing vendor and customer accounts, monitoring cash flows, and supporting month-end and year-end closing activities. The Accountant will assist in preparing financial statements, management reports, and budgets, while ensuring compliance with applicable accounting standards, tax regulations, and internal controls. The position will also coordinate with internal teams, external auditors, and banks, and support process improvements to enhance financial accuracy, reporting quality, and operational efficiency.
Qualifications
- B.Com / M.Com / MBA (Finance) / CA Inter
- 3–5 years of experience in accounting and finance functions
Key Responsibilities
- Maintain accurate books of accounts and financial records
- Handle day-to-day accounting transactions using Tally ERP/Tally Prime
- Prepare and reconcile Bank Reconciliation Statements (BRS)
- Manage accounts payable and accounts receivable activities
- Process vendor payments and customer receipts
- Pass and verify Journal Vouchers (JVs) and other accounting entries
- Maintain accounting files, vouchers, and statutory records systematically
- Assist in internal and statutory audits with required documents and schedules
- Ensure compliance with GST, Income Tax (IT), and TDS regulations
- Prepare GST returns, TDS workings, and support tax-related reconciliations
- Coordinate with banks for routine banking transactions and reconciliations
- Monitor cash flow, bank balances, and fund movements
- Support month-end and year-end closing activities
Required Skills
- Strong knowledge of Tally ERP/Tally Prime
- Good understanding of BRS, Accounts Payable, Accounts Receivable, and Journal Entries
- Working knowledge of GST, Income Tax, and TDS compliance
- Familiarity with banking operations and financial documentation
- Proficiency in MS Excel and accounting reports
- Good analytical, organizational, and communication skills