Sr. Executive – Accounts - PITTIE POLYMERS PVT LTD - PUNE
(2026-07)
- Material and Bank Reconciliation.
- Maintain Factory Attendance of all Contractors.
- Bank payments and periodical reconciliation.
- Cheque preparation, Bank & Cash receipts & payments.
- Scrutiny of Creditors Ledger.
Sr. Executive – Accounts - YASHICA PHARMACEUITICALS PVT LTD - KALYAN
(2016-07 - 2025-12)
- Independently handling all Bank formalities, foreign transactions (like Export Accounting, Payment letters, Arrangements of 15CA, CB & Follow up) and Bank Reconciliation.
- Handling & managing Bank payments and periodical reconciliation thereof.
- Reconciliation of foreign party accounts.
- Purchase & Sales Accounting.
- Preparation of data for Audit purposes.
- Submission of FIRC along with all necessary documents into the bank.
- Submission of GST documents in the Sales Tax office & Excise office for Refund claim & coordinate & follow with Nodel officer up to claim settlements.
- Cheque preparation, Bank & Cash receipts & payments, Handling of petty cash.
- Payment through E-net banking
- Scrutiny of Creditors Ledger.
- Co-ordination with internal team for payment.
ACCOUNTS EXECUITVE - PROTEGO INDIA PVT. LTD. - RABALE (NAVI MUMBAI)
(2015-07 - 2016-03)
- Managed client accounts and maintained strong relationships with key stakeholders.
- Monitored client feedback and enhance service delivery and customer satisfaction.
- Provided timely customer service support to resolve any issues quickly and efficiently.
- Cultivated relationships with key decision makers through regular client visits and follow up calls.
BANKING & TREASURY - BHARAT BIJLEE LTD - PRABHADEVI
(2014-04 - 2015-05)
- Import payments.
- Preparation of quarterly reports for Audit.
- Issuance of Letter of Credit, SBLC & Bank Guarantees.
- Co-ordinate with all bankers regarding all issues like BG, LC, Import payments, BRC, BRO, GR Waiver, FIRC etc.
- DA acceptance of documents.
- Submission & monitoring of pending Bill of Entries.
SR. ACCOUNTS ASSISTANT - AUTOMAG INDIA PVT. LTD. - PUNE
(2006-03 - 2011-12)
- Day to day accounting-voucher scrutiny, expenses vouchers, service Tax bills forwarding to factory for taking credit.
- Monthly statutory payments like TDS, Service tax, Excise.
- Calculation for taking service tax credit.
- Preparing outstanding report on weekly basis for Debtors and Creditors
- Independently handling all bank formalities and query (like C/C Account, obtaining rates from bank, payment letters and follow up) and bank reconciliation
- Handling & managing Bank payments and periodical reconciliation thereof.
- Handling and managing import payments & reconciliation of foreign party accounts.
- Purchase & Sales accounting, C & H form collection
- Travel reports passing and accounting, payment/recovery & advance payments.
- Cheque & PDC preparation, bank & cash receipts and payments, handling of petty cash.
- Interact with internal customers on regular basis to ensure smooth operations.