Prashant Pagedar_Accountant

Taux horaire: membres seulement

Disponibilité: membres seulement

Disponibilité à voyager: À proximité (100 km)

Statut professionnel: Pigiste

Dernière mise à jour: 11 juin 2024

Expérience de travail totale:

Connaissances linguistiques: Anglais, Hindi, Gujarati,

Sommaire professionel

• As an accounting manager, I am responsible for leading and supervising the accounting fulfillment team in their daily operations. • I also provide historical and projected data to assist in budget development and planning. I ensure that all accounting records and transactions are accurate, timely, and well-documented. Prepare financial and accounting procedure for new set of business. Coordinated the full month end procedure, including preparation of balance sheets, income statements, and trial balance statements. • I check the reports for accuracy before distributing them. I respond to requests for financial data with clear explanations and interpretations. • I also provide guidance and feedback for the improvement of accounting procedures, applications, reports, forms, and records. • I recommend changes to enhance systems and procedures and implement corrective actions. I evaluate internal methods and procedures for control adequacy. • I establish and enforce proper accounting methods, policies, and principles. I assign projects and direct staff to ensure compliance and accuracy. I develop staff by managing performance, setting goals, providing ongoing training, and maintaining strong employee relationships. • I meet financial accounting objectives. I establish and maintain fiscal files and records to document transactions. I answer accounting and financial questions by researching and interpreting data. I protect the organization's value by keeping information confidential. • I update my job knowledge by participating in educational opportunities, reading professional publications, maintaining personal networks, and engaging in professional organizations. • File HST Returns on monthly basis. Daily reconciliation for cash outflow and inflow. • Coordinate semi-annual audits. • Accounted for fixed assets and work in process (WIP) in accordance with GAAP and verified proper recording and valuation of finance and operating leases.

Connaissances linguistiques

Anglais

Fluide

Hindi

Fluide

Gujarati

Fluide