Dedicated to achieving professional excellence while driving organisational success through leadership in finance, taxation, and auditing
Overview
5
5
years of professional experience
Work History
Senior Financial Analyst
Aptara Technologies Private Limited
10.2025 - Current
Analysed client-prepared financial statements under US GAAP and IFRS to ensure compliance and accuracy.
Mapped and tagged financial statement data to enhance reporting efficiency.
Reviewed and reclassified XBRL work completed by juniors to maintain quality standards and facilitate accurate reporting.
Communicated with clients regarding last-minute changes and ensured updates were made.
Provided necessary training on processes and tools to associates and new joiners.
Finance Manager
Planys Technologies Private Limited
04.2025 - 10.2025
Oversaw month-end and year-end close processes for accuracy of financial statements.
Reviewed and approved financial transactions, maintaining control over expenses.
Finalised book of accounts for auditors, facilitating smooth audit processes.
Prepared book of accounts using Zoho software, ensuring accuracy and compliance.
Coordinated with junior staff to complete tasks on schedule, enhancing team efficiency.
Finance Head
Psiknowlogix Private Limited
09.2023 - 06.2024
Managed accounting functions, including payroll preparation and drafting financial statements with accompanying notes.
Filed income tax returns for companies.
Processed goods and services tax returns, calculating liabilities and claiming refunds accurately.
Maintained reconciliation statements for turnover and input tax credit, ensuring alignment between GST filings and accounting records.
Ensured compliance with the Income Tax Act-1961 by managing TDS deductions.
Prepared books of accounts using Tally software.
Assisted in mapping for iXBRL.
Associate Finance & Accounts Manager
AXA XL
05.2023 - 08.2023
Preparation for quarterly and yearly regulatory return as per APRA for Australian insurance entity.
Responsible for supporting for statutory audit requirements and related queries.
Providing and reconciling data for external Actuarial requirements on quarterly basis.
Processing and reconciliation of all accounted data balances.
Posting/reconciling of the JEs (if required) from CORE to Local ledger for reporting and reconciliation.
Compile data and perform financial analysis to ensure data completeness and accuracy in P&L and Balance Sheet between underwriting and financial accounting system.
· Maintain accuracy in both Core and Local ledgers and provide support to all work papers.
· Oversee expense management and good oversight of accrual, prepayment, recharge and intercompany balances.
· Resolve any intercompany differences historical as well incremental for Australia entity.
Prepare other regulatory and ad-hoc reports and disclosures for management as identified.