L&T Careers Opportunities for Entry Level role | Diploma / B.E / B.Tech/ Any Graduates | 0 - 5 yrs

L&T Careers Opportunities for Graduate Entry Level | L&T Corporate | L&T India | 0 – 7 yrs

Larsen & Toubro Ltd, commonly known as L&T, is an Indian multinational conglomerate company, with business interests in engineering, construction, manufacturing, technology, information technology and financial services, headquartered in Mumbai & Technical services, headquartered in Chennai.The company is counted among world’s top five construction companies.

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The L&T Group comprises 93 subsidiaries, 5 associate companies, 27 joint ventures and 35 jointly held operations, operating across basic and heavy engineering, construction, realty, manufacturing of capital goods, information technology, and financial services

L&T Careers Opportunities for Graduates 2024

Accounts and Taxation 

Experience : 0 – 4 Years

Job Description:

Balance sheet & variance analysis, Notes to Accounts (Material Accounting Policies, Note on Employee Cost, Gratuity, ESOP, EPS, Related Party Transactions, Provisions, Contingencies & other miscellaneous notes), Audit coordination, TDS, Reconciliation with Form 26AS, TCS and TDS return on Quarterly basis, Checking & Payment of TDS, Statutory payment of PF/ESI/Pension Fund/ etc,

Income Tax Assessment Status Register, Contingent liability register, Security Deposit Register, MIS and Presentation related to Accounts and Taxation, Accounting and payment of inter unit debit/credit advices, Inter-company reconciliation, Facilitating Internal Audit, ICFR Audit, Vendor confirmation in SAP & Vendor Portal, Maintaining insurance register along with claims, Various accountings and any other activities related to accounts and taxation.

Qualification:

ACCOUNTING AUDITING TAX MIS TDS RECONCILIATION TDS FINANCIAL ACCOUNTING INTERNAL AUDIT INCOME TAX FINANCE FINANCIAL ANALYSIS

CHARTERED ACCOUNTANT (CA)

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Assistant Manager – Finance & Accountant 

Experience : 3 – 6 Years

Job Description

1.Financial Accounting and Reporting:

2. Taxation and Government Assistance:

3. Internal Control and Audit:

4.Accounts Receivable and Payable:

5. Banking:

Qualification:

TEAM PLAYER ANALYTICAL COMMUNICATION PROBLEM SOLVING TIME MANAGEMENT

CHARTERED ACCOUNTANT (CA)

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Finance & Accounts – Treasury

Job Description:

Daily payment projection report, Review of fund projection, Inward payment monitoring and coordinating for its accounting in SAP, Bank statement monitoring and reconciliation, Preparation of funds inflow and outflow statement, Fund transfer to multiple banks for payment requirements towards vendor payments, bank BG/LC charges, Daily treasury summary at the end of working hours, Bank reconciliation statement (BRS) of multiple banks, Ensuring pending payment/receipt entries, ensuring balance confirmation with the banks/MF, Investments in mutual funds / fixed deposits, Compute daily return as per mutual fund statement,

Update purchase and redemption in mutual fund register on daily basis, monitoring returns on investments, preparation of investment rationale, ensuring timely investments including fund transfer for investments before cut-off time and through effective coordination, timely redemption request, reconciliation of investments, Compute MTM of mutual fund investment, Compute accrued interest and make necessary entry, Maintaining investment registers (FD/MF), Confirm FD Register with Physical FDR copy, any other activities as required for treasury operations and as per business needs.

Qualification:

FINANCE ACCOUNTING CORPORATE FINANCE TREASURY MANAGEMENT INVESTMENT MANAGEMENT MIS INTERNET BANKING DAILY OPERATIONS MANAGEMENT

CHARTERED ACCOUNTANT (CA)COST AND MANAGEMENT ACCOUNTANT (CMA)

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Executive Indirect Taxes

Experience : 1 – 5 Years

Job Description:

Candidate should be well versed in IDT laws with reasonable working knowledge during article ship.

He should be a team player and have ability to adapt to the new working environment.

He should be ready to learn new things as being introduced by the Government on daily basis and work in a challenging environment.

He should have reasonable communication skills with good drafting skills.

Candidate should be open to re-location and also travel to distant locations during the tenure of his job.

Indirect Taxation / GST:

Project Accounting & Others:

Project Accounting i.e., project wise tracking of physical Billing as well as collection w.r.t; projects
Handling of Related Party Transaction (RPT)
Inter Unit Accounting & Reconciliation

Qualification:

TAX ANALYSIS INDIRECT TAX ACCOUNTS RECEIVABLE DIRECT / INDIRECT TAX

CHARTERED ACCOUNTANT

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Finance & Accounts – Treasury

Experience : 2 – 6 Years

Job Description:

Daily payment projection report, Review of fund projection, Inward payment monitoring and coordinating for its accounting in SAP, Bank statement monitoring and reconciliation, Preparation of funds inflow and outflow statement, Fund transfer to multiple banks for payment requirements towards vendor payments, bank BG/LC charges, Daily treasury summary at the end of working hours, Bank reconciliation statement (BRS) of multiple banks, Ensuring pending payment/receipt entries, ensuring balance confirmation with the banks/MF, Investments in mutual funds / fixed deposits, Compute daily return as per mutual fund statement, Update purchase and redemption in mutual fund register on daily basis, monitoring returns on investments, preparation of investment rationale, ensuring timely investments including fund transfer for investments before cut-off time and through effective coordination, timely redemption request, reconciliation of investments, Compute MTM of mutual fund investment, Compute accrued interest and make necessary entry, Maintaining investment registers (FD/MF), Confirm FD Register with Physical FDR copy, any other activities as required for treasury operations and as per business needs.

Qualification:

FINANCE ACCOUNTING CORPORATE FINANCE TREASURY MANAGEMENT INVESTMENT MANAGEMENT MIS INTERNET BANKING DAILY OPERATIONS MANAGEMENT

CHARTERED ACCOUNTANT (CA)COST AND MANAGEMENT ACCOUNTANT (CMA)

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CS

Experience : 3 – 5 Years

Job Description:

A Company Secretary in the real estate sector plays a crucial role in ensuring that the company adheres to legal and regulatory requirements, maintains corporate governance standards, and manages administrative functions efficiently.

Here is a detailed job description for a Company Secretary in a real estate company:

To ensure the company complies with statutory and regulatory requirements, maintains high standards of corporate governance, and facilitates effective administration and communication within the organization and with external stakeholders.

1. Corporate Governance and Compliance

2. Board and Committee Support

3. Legal and Contractual Management

4. Risk Management

5. Shareholder Relations

6. Administration and Record-Keeping

7. Communication and Liaison

Qualifications:

Bachelor’s degree in Law, Business Administration, Finance, or a related field.

Professional qualifications such as ICSA (Institute of Chartered Secretaries and Administrators) or equivalent are highly desirable.

Experience: At least 5 years of experience in a similar role, preferably within the real estate sector.

Knowledge: Strong understanding of corporate law, real estate regulations, and governance best practices.

Skills: Excellent organizational, communication, and interpersonal skills. Attention to detail and the ability to work under pressure.

Technical Proficiency: Proficient in using office software, such as Microsoft Office Suite, and experience with legal and compliance management software.

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