Here you can download Senior Accountant Resume having more than ten years of experience in business administration. it is simple, easy format and you can download free resumes regarding all stream of Educations and jobs. Use our resume formats to impress your hiring manager. if you have any queries please make sure Comment and follow us.
Senior Accountant Resume
Hsg Soc Bldg,
- Mobile No. : XXXXXXXXX
- Email ID. : email@example.com,firstname.lastname@example.org
- Sex :
- Date Of Birth :
- Marital Status :
- Nationality :
- Languages Known :
- Hobbey :
- March 2007-2008 :- S.Y.B.COM
- March 2005-2006 :- H.S.C.
- March 2003-2004 :- S.S.C.
- Tally ERP 9.0 (Lattest Version)
- Microsoft Word
- Microsoft Power Point
- Microsoft Excel
- Software Installation.
- ERP and SAP Knowledge.
- Online Working via Team viewer and Show my PC.
- 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.
Total Experiance 11 Years (Approx)
- DEPARTMENTAL STORE PVT.LTD.
- ATS PVT.LTD
Designation: Jr. Purchase & Sales Manager
- 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
- 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)