Saniya Anjum
Hyderabad
Summary of Career
1. • Preparing of Vendors Payment, Fund transfer for disbursement in branches through E- Net Banking, Cheques or NEFT & RTGS Banking.
2. • Handling Accounts Receivables, Accounts Payables, Bank Reconciliation Statement
3. • Interacting with Suppliers by Phone/E-mail for Material Delivery & Payments.
4. • Salary processing of 1500 employees across 19 branches in India including Head Office under Tally Software (Version 9)
5. • Responsible for all general ledger work including journal entries, month end close, and financial statement preparation.
6. • Preparation of Proforma Invoice, Sales Order & Purchase Orders, Delivery Notes & Sales Invoices under Tally Software (Version 9).
7. • Monitoring, evaluating and maintenance of Asset Register of all centers.
8. • Assisting to Manager in processing of Balance Sheet, Income Statement & Other Financial Statements and in Monthly Closing of Accounts
9. • Preparation of MIS report on fund availability
10. • Booking of Vendors Bills, C&F's Exp, Salary, Rent & Travel Expenses Cost center wise in Tally.
Experience as Senior Accountant
Population Health Service (India)
01 June 2011
30 September 2018
• Salary processing of 1500 employees across 19 branches in India including Head Office under Tally Software (Version 9)
• Preparing of Vendors Payment, Fund transfer for disbursement in branches through E- Net Banking, Cheques or NEFT & RTGS Banking.
• Prepare TDS statements and Remittance of TDS Payments online monthly.
• Prepare Service Tax statements and Remittance of Service Tax payments monthly Online.
• Prepare PF, ESI and Professional Tax statements and remit the same.
• Assisting in Filling the TDS Return.
• Preparation of MIS report on fund availability
• Scrutiny and settlement of Travel expenses of all staff in the Head Office and across the organization.
• Monitoring, evaluating and maintenance of Asset Register of all centers.
• Preparation and finalization of accounts of Debtors & Creditors of the Company.
• Prepare Monthly Accounts Reconciliations.
• Looking after Payments of Parties, Preparing Cheques in Tally or E-Net Banking.
• Booking of Vendors Bills, C&F's Exp, Salary, Rent & Travel Expenses Cost center wise in Tally.
• Interacting with Suppliers, Vendors, C&F's and Employees inquiries by Phone/E-mail.
• Ability to act and operate independently with minimal daily direction from Manager to-Complete assigned work in time.
• Performing general administrative duties such as bank-in cheque, filing, controlling and maintaining of documents.
• Responsible for all general ledger work including journal entries, month end close, and financial statement preparation.
• Monthly Revenue Report, Monthly Employee Expense Report.
• Accurate and timely disbursement of salaries.
• To provide monthly quarterly and annual financial reports and maintenance of Books of Accounts.
• Solving the Queries of External & Internal Auditors.
• Dealing & Follow Ups with Banks for Cheques Clearance.
• Coordinates accounting matters with other departments.
• Preparation of Purchase Orders and follow-up for the material.
• Reconcile the Stock with Purchase Order in Tally.
• Monthly Preparation of Closing Stock Report, Expiry Stock Report.
• Fluent with Computer Application mainly with Tally, Word, Excel and E-Mail Communication.
• Typing Speed not less than 45w p.m.
Experience as Account Assistant
Sigma Technologies
01 October 2018
• Preparation of Proforma Invoice, Sales Order & Purchase Orders, Delivery Notes & Sales Invoices under Tally Software (Version 9).
• Bank Reconciliation, Cash & Bank Book Checking, Asset Register, Travel Expenses Settlement.
• Booking of Purchases & Reconciliation of Stock with Purchase Order in Tally.
• Handling Accounts Receivables, Accounts Payables, Bank Reconciliation Statement.
• Preparation of MIS Reports on Accounts Receivables and submit to the management as maybe required.
• Vendors Payments and Reconciliation and Payments Follow Ups.
• Interacting with Suppliers by Phone/E-mail for Material Delivery & Payments.
• Assisting to Manager in processing of Balance Sheet, Income Statement & Other Financial Statements and in Monthly Closing of Accounts.
Bachelor 01 May 2011
B.Com Commerce