Accounts / Billing Executive at Seashell Logistics Pvt Ltd (2021-09-13 – 2026-02-26)
- Generating of invoice
- Vendor Reconciliation and tracking of payment
- Accounts payable and receivable reconciliation
- Documentation Entry of Exports
- Placing of Carting, Verified Gross Mass (VGM) & Shipping Instruction (SI)
- LEO submission at ODEX & MMD3
- Co-Ordination & Communication with port team, customers, cfs teamPP, Vendor for smooth operations & achievement of common goals
- Checking the vendor invoice
- Updating team regarding the Outstanding
- Cheque collection report and deposit
- Handling of petty cash book
- Knowledge of excel (v look up, h look up & x look up)
- Pivot table
Accounts / Billing Executive at Transworld Terminals Pvt Ltd (2019 – 2021-09-09)
- Posting entry in tally software
- Voucher entry in tally
- Daily reconciliation of BRS
- Daily cash and cheque collection report and deposit
- Handling of petty cash book
- Preparation of CUT-OFF AND CONSUMPTION report
- Co-Ordination & Communication with shipping lines, port team, customers, yard team, Vendor for smooth operations & achievement of common goals
- Evolving healthy relations with Clearing Agents, Transporters, Surveyors and importer easy flow any job related flow information
- Updating team regarding the Outstanding
Operation Executive at Transworld Terminals Pvt Ltd (2019 – 2019)
- Ensuring Activates are performed as per export & import process with adherence to all customs norms
- Supervising transport movement and trailer allotment for smooth movement
- Gathering Data related to vessel movement information
- Preparation of daily activity shift report
- Truck chit generation for Export Purpose
- Approach Customs house for necessary amendments like CFS code, TR Bond Number
- Ensure proper plan for empty container pick-up & Drop off in
- Generation of different types of report
Port co-coordinator at Lift and shift services (2017 – 2018)
- Maintaining the container stock and keeping records of total Imported & Exported Containers
- Verification of Imported Containers, Customs and Agent seals
- Issuing cash to the staff
- Preparation of daily fuel report
- Maintaining report register
- Mailing daily vehicles movement report
Article ship at CA FIRM
6 months
- Voucher entry
- Cash and cheque deposit