To work in a reputed, professional organization and contributing to its growth while using my
full potentials as an innovative personal to add to the dignity of the organization
My duties are include to handle accounts payable and accounts receivable, Reconcile
monthly bank statements, forecast cash flow positions. Store data in to Archive room for internal and
external Audits. Responsible in making quotations/proposals, maintain banking relationships, Experience in
management of Oracle (Financial Accounting) with controlling end-to-end business processes from project
initiation to completion including TAX Relates matters (GST and With- Holding Tax (WHT).Maintaining
Payroll of Employees. Financial Reporting (Balance Sheet, Income Expenditure, OCI, Cash flow
statement, Change in Equity statement, Accounts Notes, Preparation of Annual Budget Estimate
,Out Sourcing & Performance Rpt etc.) .Posting of vouchers, Making Payments through various methods
and preparation of financial statement, balance sheet, profit and loss statement and cash flow statement,
Budget allocation, Handling Staff payroll and salary matters, forecast cash flow positions, Compliance
Reports, Bank Reconciliation, coordinate with panel companies and draft panel agreements
Responsible for understanding and transmitting data through LAN, WAN by dial up, hyper terminal, BBS
(Board Bullitian Service), and secure IPSs. Carried Out American data server connectivity software and
transmission methodologies installation. EDI transactions (data files) through knowledge of HIPPA.
Generation of secure files for transferring and reducing the mandatory errors with the help of MTBS EDI
Dept. To provide feedback to IT Edi with the necessary changes in whole data exporting and data
importing setups that will lead in continuous process improvement of whole department.