Experienced accounting professional with a strong focus on financial accounting and compliance. Oversaw complete accounting processes, guaranteeing accuracy in financial statements and compliance with all regulations. Generated analytical reports that facilitated strategic decision-making for management.
Overview
4
4
years of professional experience
Work History
Senior Accounts Executive
Salad Days (Amicus Natural Products Pvt. Ltd.)
Gurugram
04.2025 - Current
Manage end-to-end accounting operations, including accounts payable, receivable, and daily financial transactions.
Oversee sales reconciliations and financial reporting to ensure accuracy and timely closure of accounts.
Ensure statutory compliance including GST, TDS, PF, and ESIC filings and documentation.
Monitor and control cash expenses and budgets, ensuring alignment with company policies.
Prepare budgets and variance analysis to support financial planning and cost optimization.
Standardized accounting procedures, improving efficiency and accuracy of financial processes.
Coordinate with internal teams and stakeholders to ensure smooth financial operations and timely closures.
Provide financial insights and analytical reports to support management decision-making.
Accounts Executive
Salad Days (Amicus Natural Products Pvt. Ltd.)
Gurugram
02.2024 - 03.2025
Maintained books of accounts and daily accounting entries using accounting software.
Managed vendor invoices, vendor payments, and reconciliation of accounts.
Prepared monthly MIS reports and financial statements for management review.
Assisted in GST and TDS compliance, including preparation of supporting documentation.
Supported budgeting, expense tracking, and cost control initiatives.
Coordinated with cross-functional teams to improve accounts payable and receivable processes.
Articleship Trainee
Khowala & Associates
New Delhi
04.2022 - 09.2023
Maintained books of accounts and prepared financial statements for clients.
Assisted in GST, TDS, and Income Tax return filings.
Prepared Credit Monitoring Arrangement (CMA) data for bank loan assessments.
Supported statutory and tax audits, including reconciliations and documentation.
Performed bank reconciliations and ledger scrutiny to ensure financial accuracy.
Worked with Tally and Spectrum accounting software for maintaining financial records.