Santhosh
(Job Seeker - Active)
Accounting
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Summary of Career
1. Managing petty cash
2. Collecting and preparing daily counter cash and deposit to bank.
3. Cash salary and other advance payments to staffs.
4. Cash and bank entries updating on daily basis.
5. Reconciliation of Cash collection and Credit card collection
6. Managing patient deposits & refund
7. Posting Bank receipt to related account
8. Posting Bank receipt to related account
9. Preparing Rent, Insurance & Fixed Assets schedules on monthly basis.
10. Updating Journal vouchers in FA application.
Experience as Accounts Assistant
01 June 2011
31 December 2012
• Updating Post Dated Cheques (PDC) database in Tally, preparation of Post Dated Cheques (PDC) database customer wise.
• Maintaining receipts and payments.
• Preparing Remittance Challan for depositing the cheques to Bank.
• Sending reports to Team.
• Liaison with Bank to make remittance.
• Accounting of receipts and accordingly updating the outstanding Invoices as the case may be.
• Reconciliation of Bank accounts and other Ledgers.
• Coordinating with Manager while finalization of accounts for the financial year ending.
• Liaise with Internal Auditors while conducting audits for evaluating internal control System/procedures with a view to highlight the shortcomings and implementing necessary recommendations.
Experience as Accounts Executive
01 May 2013
To date
• Managing petty cash
• Collecting and preparing daily counter cash and deposit to bank.
• Cash salary and other advance payments to staffs.
• Cash and bank entries updating on daily basis.
• Reconciliation of Cash collection and Credit card collection
• Managing patient deposits & refund
• Posting Bank receipt to related account
• Handling Post Dated Cheques (PDC)
• Preparing Rent, Insurance & Fixed Assets schedules on monthly basis.
• Updating Journal vouchers in FA application.
• Preparing Admin indicators on monthly basis.
• Updating purchase invoices in FA.
• Reconciliation and affiliates transfer on monthly basis.
• Monitor and review accounting and related system reports for accuracy and completeness.
• Prepare and review revenue, expense, payroll entries, invoices and other accounting documents.
• Prepare daily bank, Credit Card, Control Accounts, GRN & Supplier reconciliations and monthly accounting reports.
• Explain billing Invoices and accounting policies to staff, vendors and clients,
• Entering Purchases and Expense vouchers in the financial accounting system.
• Resolve accounting discrepancies.
• Interact with internal and external auditors in completing audits.
• Provide accounting policy orientation for new employees.
• Perform other related duties incidental to the work described herein as and when assigned by the Accounts and Finance Manager.
Master 01 June 2010
MBA in Finance form St Alosyius College, Mangalore , Karnataka, India