Detail-oriented Junior Accountant with strengths in financial reporting and analysis. Manages accounts payable and receivable processes to optimise cash flow. Collaborates with auditors to ensure compliance and accuracy in financial records. Experienced in day-to-day accounting processes and applicable regulations. Dedicated to maintaining accurate records with attention to detail and expert financial knowledge. Junior Accountant skilled in Tally accounting software and advanced bookkeeping. Executes monthly bank reconciliations to verify transaction accuracy and maintain financial integrity. Supports senior accountants in preparing comprehensive budget reports and financial forecasts.
Overview
2
2
years of professional experience
Work History
Junior Accountant
Ruby Industries & Chemicals
Daman
01.2024 - Current
Reconciled monthly bank statements and resolved discrepancies.
Managed accounts payable and receivable, ensuring timely settlement of invoices and maximising cash flow.
Posted journal and ledger entries, prepared financial statements and reports and closed books.
Posted accounts receivable payments made by cash, cheque or credit card payments.
Created and maintained journal entries, maintaining exceptional accuracy throughout.
Managed accounts payable and receivable, ensuring timely processing of invoices and payments to maintain cash flow.
Utilised tally accounting software to manage bookkeeping, invoicing, and bank reconciliations efficiently.
Conducted regular bank reconciliations to verify accuracy of transactions and maintain financial integrity.
Completed detailed reviews of accounts and bookkeeping records to verify compliance with standards.
Supported senior accountants in the creation of detailed budget reports, financial forecasts, and strategic financial planning.
Accurately performed daily cash functions, including A/P and A/R tracking, budgeting, payroll transactions, expense management and various reconciliations.
Collaborated with auditors during annual audits to provide necessary financial records and support audit processes.
Coordinated with external auditors during annual reviews, facilitating a transparent and efficient audit process.