K. Parthiban
MAYILADUTUTHURAI
Summary of Career
Experience as Accountant
03 April 2018
• Regular book-keeping on a day to day basis
• Prepare and posting vouchers in Tally 9.3
• Reconcile invoices and identify discrepancy
• Receivables tracking and collection follow up on Network
• Making network interest on monthly basis.
• Prepare monthly GST filing
• Making Expenses Data sheet
• Network accounting update (paid stock report)
• Support at annual audit.
Experience as Accountant
04 November 2016
31 July 2018
• Cash handling function for the hotel and reconcile all dropped at the front desk
• Assist with analyzing financial statement on a monthly basis and report any variance to the concerned department heads
• Reconcile credit card back-up to general cashier summery and inform controller of any discrepancy
• Review the postings, payments, revenue and guest balance reports on daily basis
• Regular checking of invoices, purchase order, delivery notes relating to purchase.
• Ensuring timely payments to the supplier
• Reconciliation of supplier accounts
• Prepare monthly returns for VAT
Experience as Accountant
01 September 2015
02 September 2016
• Processing accounting receivables and incoming payment in compliance with financial policies and procedures
• Performing day to day financial transactions, including verifying, classifying, computing, posting and recording accounts receivables data
• Preparing bills receivable invoice and bank deposits
• Verification of sales invoice & receipts and posting the entry in the system
• Ensuring collections based on the credit terms.
• Reconciliation of debtors account and sot-out the issues on monthly basis
Experience as Accounts Executive
03 June 2013
28 August 2015
• Cash Receiving and bank deposits.
• Liaise with banks for follow-up on payment instruction, fund transfer and other related matters.
• verify and prepare payment instruction for various payment request
• Prepare and process monthly payroll for staffs and maintains staff records.
• Maintains accounting database by entering data into computer, processing backups
• Maintains of Petty cash.
Experience as Branch Accountant
07 December 2007
30 April 2013
• Preparing CVR and Deposit sales cash to the bank daily basis
• Maintenance of Petty cash.
• Submission of cheques in the bank and bank reconciliation on monthly basis.
• Entry with Accounts Payable and Account Receivable
• Prepare Staff’s timesheet and payroll on monthly basis.
• Preparing credit sales statement on credit customer basis.
• Maintained Stocks by physical and systems
• Preparing tenants contract for every year either renewal or terminate
Experience as Accounts Assistant
08 June 2004
31 October 2007
• Calculating and check with PF and form return with concern office
• Calculating and check with ESI and form return with concern office
• Preparing with Medical allowances for various employee
• Preparing with Traveling allowances for various employee
• Deduction with TDS and return filling
• Inter-company reconciliation and obtaining monthly statement of accounts
• Preparing BRS statement
• Checking Payroll processing
• Prepare with Profit and Loss Account & Balance Sheet
• Internal Audit for medium size companies
Bachelor 25 April 2002
B.comMaster 27 May 2004
M.com.,