Walkin Drive Property Accounting
Job Description & How to Apply Below
HCL is hiring For Property Accounting
Job description
Job Location:
Chennai Sholinganallur
Role :
Analyst/Team Lead
Notice Period :
Immediate to 60 days
Shift: Should be willing to work in US Shifts
5 days work from office
Interview date :21st Feb'26
Time :11am-2pm
Interview
Location:
HCL Technologies
No. 602/3/138, Special Economic Zone, Elcot-Sez, Medavakkam High Road, Sholinganallur, Chennai - 600119
Tower 4
Contact Person:
Vivek Hari
Role & responsibilities
3-8 years of relevant experience in property accounting, fixed asset accounting, and inventory accounting.
1. Property Accounting & Inventory Management
Manage property inventory and maintain accurate records for all materials and assets.
Account for all material movements including receipts, returns, consumption, and losses.
Perform inventory revaluation and ensure accurate stock valuation.
Reconcile physical inventory [KO1] counts with book and financial records.
Ensure correct application of tax and duty rates
2. Inventory Accounting
Track and report materials variances,highlighting key trends and deviations to management.[KO4]
Maintain comprehensive and audit-ready documentation.
Support fixed asset, CWIP, and intangible asset accounting and reporting.
Manage annual fixed asset verification process.
Reconcile physical inventory counts with book and financial records.
3. Property Ticket Management
Manage property-related tickets, including reclassifications.
Coordinate with relevant teams for timely resolution and proper accounting of reclassifications.
4. Capital & Revenue Project Tracking
Monitor project expenditures and compare spending against approved budgets.
Prepare and deliver periodic project tracking reports.
Close completed projects to the fixed asset ledger and P&L as required.
5. Ledger & Fixed Asset Management
Classify and manage tangible and intangible assets.
Reconcile asset-related balance sheet accounts regularly[KO5] .
Maintain updated and accurate fixed asset master data.
Manage all asset attributes including costs, locations, cost centers, categories, tax jurisdictions, and asset values for book, local GAAP, tax, and insurance purposes.
Account for financial and operating leases in compliance with applicable accounting standards.
Perform ERP updates required due to policy changes or tax law updates (post internal validation).
6. Asset Sale, Reclassification & Retirement
Process accounting entries for asset sales, transfers, reclassifications, and retirements.
Handle project closeout postings and ensure accurate reflection in the financial statements.
7. Accounting Journal Entries & Documentation
Prepare, document, and review journal entries (JEs) in compliance with accounting policies.
Prepare recurring and reversing journal entries.
Run and validate asset depreciation, including manual accelerated depreciation entries, and reconcile results (excluding CWIP).
Ensure accurate posting and timely processing of all JEs.
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