

Dynamic finance professional with a proven track record at Agappe Diagnostics Ltd, excelling in tender management and strategic coordination. Adept in ERP SAP FICO and stakeholder engagement, I optimize processes and ensure compliance, driving operational efficiency in high-stakes environments. Recognized for enhancing decision-making through meticulous financial oversight and collaboration.
Results-driven professional with expertise in tender management and strategic coordination. Skilled in preparing and overseeing technical specifications, quotations, proforma invoices, and tender submissions, ensuring compliance, accuracy, and timely execution.
Experienced in pre-tender and post-tender coordination with distributors and field teams, managing EMD/SD deposits, tender trackers, and institutional communications to streamline processes and enable informed decision-making.
Proficient in cross-functional collaboration with Finance, Purchase, Distribution, CMD, PMT, and TSD teams, supporting operational efficiency, demo coordination, and price list management. Recognized for stakeholder management, process optimization, and end-to-end tender lifecycle execution in high-volume, compliance-driven environments.
Professional Summary:
Responsible for maintaining accurate financial records and supporting day-to-day accounting operations, including transaction posting, vendor payments, cash management, and reconciliations. Played a key role in ledger scrutiny, stock audits, and fixed asset audits while ensuring compliance with internal controls and audit requirements.
Professional Summary:
Supported comprehensive finance and accounting functions within a government enterprise, covering statutory compliance, SAP-based accounting, budgeting, costing, and financial reporting. Actively assisted Internal, Statutory, and C&AG audits, prepared MIS, profitability, and variance reports, and managed reconciliations, asset capitalization, and bank coordination.
Professional Summary:
Provided accounting and audit support services for multiple clients by handling bookkeeping, statutory filings, reconciliations, and audit documentation. Gained strong exposure to audit procedures, compliance requirements, and financial reporting standards across diverse client portfolios.