

Detail-oriented Assistant Accountant with 1 year of experience supporting daily accounting operations, including bookkeeping, accounts payable/receivable, bank reconciliations, and journal entries. Skilled in maintaining accurate financial records, assisting in month-end closing, and using accounting software and MS Excel to ensure timely and reliable reporting.
Manage daily accounting operations, including recording over 50+ transactions per day in Software with 100% accuracy.
Perform monthly Bank Reconciliations for 3 corporate accounts, identifying and resolving discrepancies promptly.
Handle Accounts Payable & Receivable, ensuring vendors are paid on time .
Assist the Senior Accountant in preparing monthly GST returns and calculating TDS on professional fees and rent.