Jignesh K Patel
Phone: 587-***-****
Email: adwnpk@r.postjobfree.com
Address: 326A, 43 Avenue West, Claresholm, AB
Professional Profile
Bookkeeping & accounting experience of 15+ years in India.
Experience in financial bookkeeping, implementation, and application of accounting controls in a computerized accounting environment.
Strong skills in financial planning & analysis, accounting, and strategic planning.
Demonstrated ability to work and excel in a team environment performance, and accountability
Experience with software like Tally, Quick books (learning presently), Basic knowledge of Excel (intermediate user with knowledge of pivot tables; look up & other functions etc.)
Education
Certificate Course – Bookkeeping (Pursuing) Online
Accountingcoach.com
Bachelor of Commerce Hyderabad – India
Osmania University
Employment History
Just Dial Ltd Ahmedabad India
Senior Lead Finance & Accounts Feb 07 – Till Date Feb-22
Assisting & Reporting to General Manager by overseeing bookkeeping, accounting, billing, collections, payroll, and financial reporting functions
Examining and analyzing accounting and financial records, documents, and systems to ensure accuracy and compliance with established accounting standards, procedures, and internal controls
Managing journal entries and reconcile accounts for the monthly and annual closing
Assisting with Internal audits.
Collecting data for financial reports and KPIs
Developing and implementing accounting policies and procedures to ensure accurate financial reporting as per management requirements.
Providing orientation training, and development of accounting staff
Delegating financial reports tasks to junior accounting staff
Coordinates with and prepares reports for executives and leadership team
Act as a liaison between management and the operations to validate the accurate flow of information.
Contributes to team efforts by accomplishing related tasks as needed.
Vrajlal Manilal & Co. New Delhi, India Accounts Executive Sept 1997 – Feb-07
Assisting with Keeping financial records and transactions maintain and balance various accounts using computerized bookkeeping systems (TCS - EX)
Posting journal entries for monthly / Yearly end process and reconcile accounts, bank statements, prepare trial balance of books, maintain general ledgers and prepare financial statements.
Calculate and prepare cheques for payrolls and for utility, and other bills
Complete and submit tax remittance forms.
Prepare year end tax forms for employees.
Prepare other statistical and financial reports as per management’s requirements.