Results-driven finance professional with strong financial analysis and operational efficiency skills. Proven track record in managing accounts, ensuring compliance, and enhancing internal controls.
Overview
6
6
years of professional experience
Work History
Proprietor
UNNATI TEX
PANIPAT
11.2022 - Current
Established operational procedures to enhance efficiency and productivity within the business.
Recruited, trained, mentored, and managed employees at all levels within the organization.
Negotiated contracts with vendors to secure competitive pricing for goods or services.
Represented the organization at conferences, events, and networking activities as needed.
Overseen the daily operations of the organization and ensured compliance with applicable laws and regulations.
Manager of Accounts and Finance
CA RAVI KUMAR
DELHI
01.2024 - 12.2025
Monitored cash flow, prepared bank reconciliations, and managed accounts payable and receivable functions.
Supervised accounting tasks, which included accounts payable and receivable, general ledger management and expense reporting oversight.
Prepared monthly, quarterly, and annual financial statements in accordance with generally accepted accounting principles.
Reviewed and evaluated internal control systems, financial records, and accounting systems to ensure accuracy of information.
Analyzed financial data and prepared reports outlining findings and recommendations.
Compiled data from clients to accurately complete tax forms.
Trainee
PRJ & ASSOCIATES
02.2021 - 11.2022
Performed analytical reviews of balance sheets, income statements, cash flow statements, budgets.
Assisted in the development of internal control systems to mitigate risk and improve operational efficiency.
Maintained up-to-date knowledge of applicable laws and regulations governing financial reporting standards.
Trainee
DCM&CO
10.2019 - 02.2021
Assisted in the preparation of financial statement disclosures.
Reviewed client documents to ensure accuracy and compliance with applicable laws and regulations.
Maintained accurate records throughout the auditing process.
Prepared audit work papers, including trial balances, reconciliations, and other analysis.
Completed tax returns for individuals, trusts, partnerships and corporations.
Accurately entered data into Tally software from various sources.