Accountant at Neacon PTY LTD, Australia (2023-12 – Present)
Construction company
- Prepared monthly balance sheets, income statements, and cash flow statements for multiple clients.
- Generated year-end financial reports, including profit and loss statements and general ledgers.
- Preparing Bank reconciliation, Deprecation account, Debtors ledger reconciliation, Creditors ledger reconciliation, GST reconciliation and PAYE reconciliation.
- Recording payroll entries, add employees and Calculate employee salary, Hourly rate.
- Ensuring businesses and individuals comply with ATO regulations, preparing tax returns such as GST/BAS, Payroll tax and Co-operate tax.
Bookkeeper at Abundance LLP, Ahmadabad, Gujarat (2021-01 – 2023-10)
- Recording financial transactions, reconciling accounts, and maintaining ledgers.
- Preparing financial statements, profit & loss accounts, balance sheets, and cash flow statements.
- Overseeing financial transactions, maintaining records, and ensuring accuracy.
- Managing payroll, ensuring correct tax and National Insurance (NI) deductions.
- Prepare VAT tax return.
Assistant Bookkeeper at NMM Automotive Pvt Ltd, Sangli, Maharashtra (2020-05 – 2021-12)
- Handled important assignments which includes Accounts Receivables, Payables, Branch Accounting, Sundry Debtor and Sundry Creditor Reconciliations, credit ageing reports, Bank Reconciliations Statements etc.
- Conduct Monthly and Quarterly account reconciliations to ensure accurate GL maintenance and reporting.
- Assist in Month end closing.
- Analyze Financial statements for any discrepancies and other issues.
Bookkeeper at Sachin Abdar CA Firm, Vita, Maharashtra (2019-05 – 2020-04)
- Maintained integrity of general ledger and chart of accounts.
- Provided journal entries and performed accounting on accrual basis
- Used accounting software to issue tax returns and prepare consolidated reports.