Assistant Manager - Sales Support & Operations - Samsonite South Asia Pvt Ltd - India
(2011-10)
The position reports to Sales Head – CSD Department (Channel turnover - 300 Crores). A Brand of luggage like Samsonite, Tumi, American Tourister & Kamiliant
- Responsible for building & monitoring of Sales (Fill Rate) dashboards
- Responsible for stock/Inventory management
- Responsible for implementation of Consumer Promotion Schemes
- Preparing various report like Sales forecast Report, Plan vs Actual Sales, deficit report etc.
- Closely working with Planning, logistics & Sales Team for dispatch of stocks and ensuring maximum fill rate against order
- Working on base stocks to be replenished at CFA level
- Analyzing stock ageing & work on liquidation plan through pricing & schemes with respective product heads
- Stock status report on daily basis to concern sales team geographically
- Working with COP (Central order processing) Team so that correct orders are uploaded on time
Asst officer (Projects – Accounts) - M/s Enercon India Ltd - India
(2010-04 - 2011-10)
Germany MNC. The position reports to Chief executive officer – Crane Cell Department
- Invoice collection from vendor
- Co-ordination with Taxation dept. for issue of TDS certificate (Form-16A) to the vendors
- Preparation of budget for Internal Department (Revenue)
- Verification of Invoices and ensure GRN & SES made as per the terms of the PO
- Preparation of Cheque for Direct Payment & Advance Payment
- Making the document set for Bill Discounting payment
- Collection duplicate log sheet from site
- Maintaining crane master file
- Invoice checking with log sheet
- Compilation of variation claimed & sending to respective vendor
- Crane Working details
- Cost bifurcation
- SES details
- Service Entry in SAP
- Submitting the bills for release & checking, verification & approval & getting the lot copied & maintaining the file
- Collection of cheque from A/c's, getting the copy & maintaining & sending it to respective vendors
Asst Accountant - M/s TMG & Associates - India
(2008-05 - 2010-03)
- Monthly Bank Reconciliation Statement
- Drafting the letters of accounting related matters
- Computation of Total Income Tax
- Assisting in finalization of accounts & Income tax Filing
- Maintaining the daily Vouchers Record
- Preparation of service and counter sales invoice
- Preparation of cheque and cash deposit slip
- Daily writing petty cash book
- Daily tallying cash with petty cash book and physically