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Accountant Accounts Payable

Location:
Mumbai, Maharashtra, India
Salary:
35-40k
Posted:
June 19, 2021

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Resume:

DETAILS

Anil kisan kasture

*** * **** ******* ***

Tukaram chaulk Dawdigaon, Dombivali (E) Mumbai

- INDIA,

869-***-****

PROFILE To work in challenging and dynamic organization I can utilize my knowledge to match the vision and mission of the organization,

where my career could enhance.

Strong work ethic, supervision experience, interpersonal skills. adm8os@r.postjobfree.com EDUCATION

Date of Birth : 01-02-1973 Nationality : Indian

Gender :Male

PASSPORT

Place of Issue : Bandra Kurla Complex Maharashtra INDIA No. U 1089489

Valid : 17-11-2029

LANGUAGE

English

Hindi

Marathi

SKILLS

Critical Thinking Result

Oriented

Communication Skills Team

work

JOB PROFILE

Purchases & Sales,Payments

& Receipts Bank

Reconciliations

Petty Cash Billing

DEGREE- Bachelor of Commerce – YCM Nashik Univercity -INDIA - 2013 Accountancy Part-II

Economics Envoirnment Costing,Auditing & Taxation

Marketing Management-I Human ResourcesManagement

Marketing Management-II

COMPUTER

Tally.ERP 9 MS CIIT Basic & Excel Knowledge

EMPLOYMENT HISTORY

Asst Manager Accountant- Samarth Enterprises (NIRMITI GROUP)- Thane - Oct 2018 -Jan 2019.

Current Post customer payments by recording cash cheque and Credit Card.With Tax update entry,Tax Calculation. Post revenue by verifying and entering transaction of deposit Update receivable by totaling unpaid invoices

Maintain records invoices, debits and credits

Verify valid of account discrepancies by obtaining and investigating Resolve invalid or unauthorized deductions by following pending deduction procedure Resolve collection by customers payment

Update receivables by maintaining invoices accounts Organizations value by keeping information confidential

Accomplishes accounting and organization mission by completing related results Maintains accounting ledger by verifying and posting account transactions Maintain vendors account by reconcile monthly statement & related transaction Pays employees by receiving and verify expenses

Sr. Accountant- CMS Marshal Ltd CBD Belapur Navi Mumbai – Aug 2017 - Sept 2018

Reconciliations of Bank Statement

Weekly Update Of all over India ATM Transaction Detail Collection all Reconciliation with Statement

Accountant- Osworld Scientific Equipment Pvt Ltd, Andheri Mumbai – Feb 2014 to Jun-2017 Company type- Manufacturing Pharmaceutical Equipment products Number of employee:40 employee

Process accounts payable/receivable, cash receipts, general ledger, payroll, cash forecasting, revenue and expenditure. Monthly closing of accounts and statement update Prepares payments by verifying documentation, and requesting disbursements. Payroll function (40 employee)

Perform bank reconciliations statement

Reconciliation of debtors and creditors account

Guarantee and PDC Cheque

Site Accountant- H N Bhat & Company Pune April

2006 to Dec 2011 (Construction Co) Manage

Requirement payable for Contractors, Purchase Site use material, RA Bill Preparation, Labour weekly

Payment, Staff Payment,Cash Sheet Update weekly

Inform to Head Office Day to Day Petty Cash

expenses voucher entry update

Work as to appreciate by senior authority.



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