To seek and maintain full-time position that offers professional challenges utilizing interpersonal skills, excellent time management and problem-solving skills.
Overview
12
12
years of professional experience
1
1
Language
Work History
General Ledger Analyst Senior Accountant
RTR, Metriqe Solutions Private Limited
chennai
11.2020 - Current
Working for US client (Encore Enterprises - surepoint emergency center)
Reviewing Daily Bank Reconciliation
Review Payscan Exception and Review AP Approval and processing payment based on Approval
Daily Expenses Bookings
Payroll entries Bookings
Consolidated Cash Reporting to the Management
Monthly Rent processing and Outstanding checks follow up
Monthly amortization of Prepaid expenses & Prepaid insurance entries Posting
Monthly MIS Reporting to the Management
Cash flow Management on daily basis and arranging funds from other properties
Weekly Property wise collection report to the management
Reviewing intercompany reconciliation on weekly and monthly basis
Management Fees, Marketing and Royalty Fees Workings and Passing entries in the system in the Month End
Depreciation Entries Posting in the System in the Month End
Calculating of Closing Inventory and Inventory Transfer and Payroll Accruals and Payroll transfer
Utility Accruals and Invoice Accruals
P&L Preparation and Submission to the client by 5th Working day of Every Month
Balance sheet submission by End of 2nd Week of Every Month
Assistant Manager Finance
Travel Food Services Chennai Private Limited
Chennai
07.2014 - 06.2020
Outlet & Bar Sales import on daily basis & Settlement entry
Cash and Credit Card reconciliation on Monthly & Daily Basis
Purchase, Cash and Bank Entry Passed in (Tally, NAV)
Bank reconciliation on daily basis and fund position sent to FC
Scrutiny of General Ledger, Debtors & Creditors Ledger
GSTR-1 sent to tax team and consultant verification and filling
Daily requirement of fund request will be sent to Treasury Team
Checking of daily sales & Weakly sales report sent to Management
Preparation of debtor's statement on Monthly basis
Collection update will be sent to Management on daily & Monthly basis
Invoice submission and collection follow up with debtors
Lounge sales Preparation on Monthly basis and passed in (Tally & NAV)
Flash sales to Management on Monthly Basis
Follow up with P2P for creditors payment & Employee reimbursement
Preparation of customer summary & report for Migration of New finance software Microsoft NAV
Provided details of customer information and invoice format and report generating format for New software (Microsoft NAV & Maxworth)
Executed core financial Processes, including vendor setup and payment
Operational expenses, administration of bank account and reconciliation
Complied with established internal controls and polices
Improved overall financial reporting by streamlining control processes and reporting structures assist with FC and Manager
Training new and existing staff members in various financial procedures to help each preparation of job requirements
Addressing Audit queries and explaining work process Flow
Senior Process Associate
GNSA InfoTech Private Limited
Chennai
12.2013 - 06.2014
Working for the client (Fullerton India Credit Company Limited)
Auditing & Quality analyzing and processing the Vendor payment and employee Reimbursement
Preparation of BRS
Preparation of TDS Workings sent to Tax team for Validating and payment processes
Met all deadlines including month-end reporting Objectives
Performed data entry operations to update database report to client on daily basis
Addressing Audit Queries and explaining work process flow
Accounts Executive
Saravana Stores Food Private Limited
Chennai
10.2012 - 12.2013
Jammai Ice creams)
Handled Petty Cash
Purchase & Expenses Booking
Accounts Payable Processes
Accounts Receivable Processes
Preparation of BRS
Reporting of fund Position to Management on daily basis
Sales invoice accounting
Logistics invoice accounting
TA bills of Marketing Team processing for payment
Daily and Monthly MIS reporting to Management
Accounts Assistant
Giri Trading Agency Private Limited
Chennai
07.2011 - 10.2012
Petty Cash Expenses Accounting
Purchase and Expenses Accounting
Payment Processing of Vendor Payments
Prepation of BRS
Creditors Account reconciliation
Stock Transfer and Inter Branch consignment reconciliation
Purchase register reconciliation with GRN register on Monthly and Weekly basis
Addressing (Internal and External Auditors Queries)
Education
MBA - Financial Management, Finance and Accounts
Madras University
06.2011 - 2015.05
B.com - Corporate Secretary, Commerce and Accounting
Pachiyappas College
06.2008 - 2011.05
HSC - Commerce and Business Mathematics
SCS Matriculation Hr Secondary Scholl
06.2006 - 2008.05
Skills
Microsoft NAVundefined
Timeline
General Ledger Analyst Senior Accountant
RTR, Metriqe Solutions Private Limited
11.2020 - Current
Assistant Manager Finance
Travel Food Services Chennai Private Limited
07.2014 - 06.2020
Senior Process Associate
GNSA InfoTech Private Limited
12.2013 - 06.2014
Accounts Executive
Saravana Stores Food Private Limited
10.2012 - 12.2013
Accounts Assistant
Giri Trading Agency Private Limited
07.2011 - 10.2012
MBA - Financial Management, Finance and Accounts
Madras University
06.2011 - 2015.05
B.com - Corporate Secretary, Commerce and Accounting
Pachiyappas College
06.2008 - 2011.05
HSC - Commerce and Business Mathematics
SCS Matriculation Hr Secondary Scholl
06.2006 - 2008.05
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