ALL VERSIONS OF TALLY
To seek and maintain full-time position that offers professional challenges utilizing interpersonal skills, excellent time management and problem-solving skills. Ready to help team achieve company goals. Organized and dependable candidate successful at managing multiple priorities with a positive attitude. Willingness to take on added responsibilities to meet team goals.
Maintain bank Reconciliation & Vendors payment Reconciliation. Monitored status of accounts receivable and payable to facilitate prompt processing. Reviewed general ledger entries and assessed accuracy.
Reconciled company accounts for credit cards, employee expenses, and commissions.
Analyzed and verified employee expense reports for accuracy.
Maintaining Books of Accounts, Day To day Accounting Operation.
Bank Reconciliations, Cash Reconciliations
Statements and Resolving the Queries.
· All Type Entries In ERP Software.
· All Type Works In M.S Office.
· Daily Fee Collection In Cash, Chaque,DD etc..
· All Type Voucher Enter In Tally.
· Maintain MIS, Stock Register, and Inventory etc.
· All Type Vouchers Entered In Tally. With G.S.T (Sales Voucher, Purchase Voucher, Contra
Vouchers & Journal Voucher)
·Maintain Gst returns GSTR1,GSTR2,& GSTR3B & Reconciliation 2A
Reviewed general ledger entries and assessed accuracy.
Reconciled company accounts for credit cards, employee expenses, and commissions.
Analyzed and verified employee expense reports for accuracy.
Maintained detailed financial records of
accounts receivable and payable status and bank reconciliations.
Checked general ledger entries to increase accuracy, prevent significant errors and identify adjustments.
Maintained accurate and complete documentation to facilitate accounting and filing functions.
Assisted with monthly and quarterly income statements, balance sheets and cash flow reports to inform decision-makers.
Facilitated month-end and year-end closing processed to support accuracy and
completeness of financial reports.
Data Entry & Maintaining Books of Customers Receiving Installment.
Maintain a Data of Spear Part's in Excel.
Bill Maintain of Customer.
Executed billing tasks and recorded information in company databases.
Generated daily, weekly and monthly reports for billing department.
Invoicing and collections
undefinedALL VERSIONS OF TALLY
ERP
ALL VERSIONS OFMS OFFICE
EMS
QUICKBOOK
PLAYING CRICKET
LOVE TO SPENDING TIME WITH FAMILY