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Senior Accountant Resume
John C.V.
ADDRESS
xxxxxxxx,
xxxxxx, CA
4th Floor
Hsg Soc Bldg,
Mumbai
Hsg Soc Bldg,
Mumbai
- Mobile No. : XXXXXXXXX
- Email ID. : youre-mail@yahoo.com,youre-mail@gmail.com
PERSONAL DETAILS
- Sex :
- Date Of Birth :
- Marital Status :
- Nationality :
- Languages Known :
- Hobbey :
EDUCATION
- March 2007-2008 :- S.Y.B.COM
- March 2005-2006 :- H.S.C.
- March 2003-2004 :- S.S.C.
COMPUTER KNOWLEDGE
- Tally ERP 9.0 (Lattest Version)
- Microsoft Word
- Microsoft Power Point
- Microsoft Excel
- Internet
- Software Installation.
- ERP and SAP Knowledge.
- Online Working via Team viewer and Show my PC.
BEST SKILLS
- To work in our format and specialist to design latest format in excel and power point.
- Fastest Tally ERP 9.0 and ERP System operate
- Good co ordinate or co operate in Marketing
- Better Performance in Networking
- Day to Day Research and use the latest version of format to Accounting purpose.
WORK EXPERIENCE
Total Experiance 11 Years (Approx)
- DEPARTMENTAL STORE PVT.LTD.
Designation: Sr.Accountant.
- ATS PVT.LTD
Designation: Jr. Purchase & Sales Manager
Designation: Accountant.
- CONT & ENGG PVT LTD
Designation: Sr. Accountant (in Accounts payable and Accounts receivables)
- Rudra Pvt Ltd
Designation: Sr. Accountant
- India Pvt Ltd
Designation: Account Manager
WORK SKILL
- Maintain Purchase Register.
- Maintain Sales Register.
- Prepare Bills both.
- Maintain Day to day Cash Handling Transaction and balance sheet analysis.
- Handling Client and Suppliers.
- Generate TDS, ITDS , WCT and C-Form Chart. Also Certificate.
- Working of VAT Calculation.
- Online TDS Payment. & Service tax payment
- IT Work.
- Handle Banks Transaction and Finance Controls.
- Preparing monthly and quarterly journal ledger
- Reporting to external auditors.
- Working of Sales and Purchase VAT Calculation
- Maintain Banking And Finance Day to Day Transaction
- Prepare Cheque
- Expert in Passing of journal entries and Adjustment entries.
- Finance Recovery and co ordinate with client and vendor.
- Payment in LC and NEFT RTGS
- Admin Work (Letter of Authority , power of attorney, Requesting of Bank Letter etc..)
- Preparation of Accounts reconciliations and financial statements.
- Expert in bank reconciliations and financial reporting
DATE : - (SIGNATURE)
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