· Product accounting activities related to the Receipts, Deliveries to the oil Marketing Companies, liaising with Oil Marketing Companies, maintaining accurate financial records, Banks and Customs authorities being Customs/Excise Attorney & Bank Signatory.
· Works in accordance with established policies, Product Accounting procedures & Standards as per Customs & Excise Rules.
· To get permission from Customs Officer for each Tank operation
· To maintain record of HSD/SKO product at &reporting thereon to the CHQ, Customs & OMCs
· To supervise the receipts & delivery of local and imported HSD/PMG
· To update Receipt / Transfer data in FIS Module ·
· Implement best practices of product accounting as applicable in other OMCs
· Train new resources in product accounting to an extent that they are capable of managing product accounting independently at each location