Sushil Kumar
(Job Seeker - Active)
Accountant
Chandigarh
Summary of Career
Experience as Assistant Team Leader (Accounts)
16 November 2015
To date
Currently lead a Finance & Accounts Outsourcing firm, where we deliver a cost-Effective solution to Accounting Firms across various markets in New Zealand.
Scrutinized General Ledger and rectify error and prepare Annual Financial reports for company, Trust, Partnership & Sole traders and its workpaper.
Preparation of Management reports for company as per requirement.
Preparation of Tax return for Company, Trust, Partnership & Sole Traders.
Preparation of GST returns monthly, two monthly and six monthly basis and its reconciliation.
Reconciliation of Bank, Accounts Receivable and Accounts Payable.
Reconciliation of Bank Loan and Interest and prepare working
Experience as Senior Account Executive
11 December 2014
14 November 2015
Preparation of daily cash expenses vouchers and Maintaining of cash book.
Details of salary Advance and Loan records disbursement to the employees and Vouchers Disbursals of Loan to employees and recovery of the same.
Deposit of TDS and cheques and withdrawal of cash.
Preparation of vendor’s Payment and monthly reconciliation of vendor.
Preparation Bank Reconciliation.
Monthly Reconciliation of Vendor‘s and Bank and lessoning with Govt. dept.
Handle all the system admin.
Operate spreadsheet programs and other types of software to load and manipulate data and to produce reports.
Handling of all debtors and prepare of all credit sale bill.
Handling of cash from Marketing Executive on daily basis.
Manage all sales & purchase.
Prepare Trial Balance and update TDS according to 26 AS
Experience as Account Executive
01 July 2013
10 December 2014
Preparation of daily cash expenses vouchers and Maintaining of cash book.
Details of salary Advance and Loan records disbursement to the employees and Vouchers Disbursals of Loan to employees and recovery of the same.
Deposit of TDS and cheques and withdrawal of cash.
Preparation of vendor’s Payment and monthly reconciliation of vendor.
Preparation Bank Reconciliation.
Monthly Reconciliation of Vendor‘s and Bank and lessoning with Govt. dept.
Handle all the system admin.
Operate spreadsheet programs and other types of software to load and manipulate data and to produce reports.
Handling ECHS billing and keeping records of payments.
Handling ESIC billing and keeping records of payments.
Solving Queries of ECHS Bills.
Solving Queries of ESIC Bills.
Handling of all debtors and prepare of all credit sale bill.
Handling of cash from Marketing Executive on daily basis.
Manage all sales & purchase
Experience as Assistant of chartered Accountant
01 April 2012
30 June 2013
Sale Tax.
Tds.
Service Tax.
Excise.
Manage all sales & purchase.
Sales return & purchase return updating.
Over all accounts operational controlling.
Bank reconciliation & prepare banking reports.
Preparation of vendor’s Payment and monthly reconciliation of vendor.
Prepare of Sales Tax Return.
Prepare of TDS Return.
At closing of months to compiling all accounts reports to analysis.
Bank related work and Deposit of TDS and cheques and withdrawal of cash
Master 30 June 2016
M.Com from Himachal Pradesh University, Shimla.