An experience professional with hands on experience in Accounting and Finance and Audit which includes Month end closings, Financial Reporting , Financial Management ,Financial Modelling, Bank reconciliation ,Account receivable , Account payable, handling day to day businesses transactions till finalisation of Accounts, Preparation of Financial Statements such as Income Statement , Balance Sheet Statement , Cash flows and Statement Of Changes In Equity. Creative, confident and a self-motivated person possessing excellent leadership and team management skills.
I am currently working in Afiniti Incorporated – a US based multinational company having wide geographical spread. The Company provides Artificial Intelligence data services to numerous international clients to enable best pairing between client and their customers. My key duties includes:
➢ Perform daily work on Excel and ERP system (Oracle Net Suite Software).
➢ Prepare and complete all month end closing tasks including preparing and reporting balance sheet reconciliation for 13 entities.
➢ Assist in preparation of standalone and consolidated financials.
➢ Fixed assets controlling, capitalisation, depreciation run, asset sales and retirement, prepare and maintain fixed assets schedules
➢ Manage and liaison with A/P dept and A/R dept. for inquiries from internal/external stakeholders
➢ Prepare monthly account reconciliations and resolve account discrepancies.
➢ Prepare monthly Balance Sheets and Income Statement reconciliations for 13 subsidiaries.
➢ Analysis of financial statements on a monthly basis and report on variances to management.
Work on monthly tax returns and prepare monthly tax recons to assist tax manager for submitting tax return.
Maintain record of statutory data ( local books financials ) from tax authorities ( Grant Thornton ) every month and also assist in maintaining statutory compliance.
➢ Prepare Balance sheet and Income statement Flux analysis and report on variance to management.
➢ Work adhoc task as required by management and meet processing and reporting deadlines.
➢ Assist in liaising with different teams and segment in relation to month end closing
➢ Perform daily work on Oracle Software R12.
➢ Handle account receivables.
➢ Handle account payables such as bill payments, suppliers payment etc.
➢ Prepare bank reconciliation statement.
➢ Prepare purchase voucher, sales voucher and taking follow up from the customers.
➢ Prepare and submit financial statements to manager.
➢ Work in a professional manner and carry out the task in a timely manner
➢ Analyzed revenue, gross margin and profitability
➢ Prepare dashboards, stock reconciliation report and stock aging report of all segments.
➢ Carry out other tasks and assignment given by the management based on the requirement of the organization from time to time
➢ Perform daily work on (Oracle Fusion 11g Software).
➢ To handle account receivables through cash, cheques, voucher in timely basis and also prepare cash reconciliation.
➢ To handle account payables such as bill payments, monthly salary etc.
➢ Prepare financial statements of company
➢ Prepare financial models,
➢ Calculate NRV and stock valuation,
➢ Prepare Stock aging report and submit to manager.
➢ To prepare bank reconciliation statement and daily cash position report.
➢ To record daily business transaction on Oracle.
➢ Involvement in day to day accounting operations through using ERP Software.
➢ Prepare bank reconciliation statement.
➢ Handling full set of account including preparation of final accounts up to finalization of profit and loss account, cash flow statement and balance sheet.
➢ Handles accounts payable and account receivable work.
➢ To carry out other tasks and assignments given by the management based on the requirements of the organization from time to time.
➢ Conduct comprehensive financial audits, federal and state compliance audits, and agreed- upon procedures.
➢ Perform internal control and substantive testing.
➢ Engagement planning, execution and conclusion of audit in accordance with International standards on auditing
➢ Evaluating system of internal control and risk management procedures, identifying control weaknesses and suggesting appropriate best practices to client management and /or those charged with governance;
➢ Developing collaboration, coordination and team work among the members of audit team to accomplish demanding lobs within the BME, quality and budget targets
➢ Identify and communicate accounting and auditing matters to managers.
➢ Propose adjusting journal entries and discuss audit findings with clients.
➢ Document audit procedures and cross reference work papers.
➢ Conduct comprehensive financial audits.
➢ Preparation of verification sheet for specific head of accounts
➢ Vouching.
➢ Perform referencing on audit work