Focus on challenging projects in the area of supervision and coordination always have a better performance for work and personal improvement. Management development in the area always taking into consideration the growth opportunities for a better life.
E-filling of GST return monthly basis.
Preparation & deposition of Income Tax.
Billing to Suppliers, maintain collection & outstanding report monthly basis.
Debits Schedule, bankbook, cash receipts, cash accounts, cashier etc.
Bank reconciliation.
Bank/Inter-Company Reconciliations.
Booking of Petty Cash/Quarterly Markup.
Coordination with Internal Auditor/Banks.
Monthly E-filling of GST/I-Tax.
Prepare details & Payments of Contributors
Liaison with banks/zonal Accountants whenever query arises.
Various Adjustments of accounts.
Undertake payment & receipts utilities bills & loan payment for process at counter.
worked as full flash Teller at different branches includes head office.
worked as Team Leader in cash Management department for cash disbursements projects.
worked at different branches and head office regarding day to day operation of bank, accounts opening, loan processing, cash counting etc.