A finance professional with 10 years of experience in Accounting and Finance. Excellent in reporting, record-keeping, and relationship-building abilities. A self-believer and follower of professional ethics and values, truly passionate about building great partnerships with clients and becoming a valued part of their teams.
Total Experience
8 Years 7 Months
1 Year 5 Months
Sr. Manager - Accounting
On-boarding new clients and streamlining processes.
Prioritize deadline tasks and accomplish them by assigning them to team members.
Efficient & effective communication with clients on a daily basis.
Open and targeted communication, recommending appropriate options & outcomes.
Managing company’s day-to-day operations & management, reporting directly to Directors.
Providing accounting & taxation-related training to staff for accomplishing client requirements.
Manager - Accounting
On-boarding new clients and maintaining books of accounts.
Ensuring client deadlines are met with accuracy.
Managing and building a competitive team for the organization.
Training team members on tasks to ensure team development.
Developing strategies for team members to reach project goals.
Communication with clients for assigned jobs.
Team Lead - Accounting
Analyzing client tasks and assigning them to the team.
Assembling team members with the required skills to accomplish goals.
Reviewing team members’ work and providing training.
Compilation of financial statements and preparing reports.
Account Supervisor
Preparation of various monthly reports for clients.
Recording adjusting journal entries to close monthly and yearly books.
Monthly sales tax and payroll reconciliation along with payroll tax liabilities.
Performing inter-company reconciliations.
Reconciliations of supplier statements provided by clients.
Providing AR and AP reports to clients on a weekly basis.
Maintaining notes and work tracking sheets for updates & future reference.
Preparation of individual 1040 tax returns.
Preparing business returns like Corporate 1120 & 1120S and Partnership form 1065.
Knowledge of preparing necessary work papers for corporate tax returns with required adjustment entries.
Making adjustment entries for preparing financial statements.
Maintaining necessary work papers for schedule M1, Schedule M2, and fixed assets.
Account Executive
Posting and entering bank transactions and reconciling them weekly & monthly.
Recording bills and invoices on a daily and weekly basis.
Bank reconciliation, credit card reconciliation, merchant account reconciliations.
Recording adjusting journal entries to close monthly and yearly books.
Monthly sales tax and payroll reconciliation along with payroll tax liabilities.
Account Assistant
Managing petty cash for erectors working all over India.
Invoice management with the ground staff for covering day-to-day cash requirements.