Handling activities related to Retirement Benefits Section-(RBS)
Consist of EPFO KYC, monthly PF Statement contribution updation, settlements of PF, Gratuity, PF Transfer out, PF Transfer in from new Joiners, Pension claim processing for retires. Settlement of Superannuation claims, Superannuation Death Claims processing for return of capital/annuity.
1. Approval of Transfer claims/KYCs/UAN linking on EPFO Portal.
2. Claim processing of PF, Gratuity, SAF.
3. Filing monthly returns and PF related compliance.
4. Bank Reconciliation Statements of various Trusts.
5. Monthly PF Contribution and individual PF Statement update.
6. Trust's Investments accounting.
7. Preparation of various MIS reports.
8. Co ordination for yearly PF Inspections, audits, etc.
9. Settlement of EPS Claims (10C/10D)
Location : Powai
Please apply to me**********k@la*********o.com
Keyskills: trust balance sheet EPFO Investment Accounting reconciliation UAN claim processing SAF gratuity EPS claims