Prabhakaran A, Accounts Specialist

Prabhakaran A

Accounts Specialist

Roam Space Travel Solution Pvt Ltd

البلد
الهند - بنغالورو
التعليم
ماجستير, Accountancy
الخبرات
9 years, 1 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :9 years, 1 أشهر

Accounts Specialist في Roam Space Travel Solution Pvt Ltd
  • الهند
  • ديسمبر 2012 إلى يونيو 2014

Roam Space Travel Solution Pvt Ltd, Bangalore. (mustseeindia.com) . Accounts Specialist (1.5 Years) Dec '12 - Jun '14

Accounts Executive في Textron India Private Limited
  • الهند
  • يونيو 2008 إلى ديسمبر 2012

Textron India Private Limited, Bangalore, Karnataka. Accounts Executive (4.5 Years) June '08 - Dec '12

Audit Assistant في Venkatapati & Co
  • الهند
  • يونيو 2005 إلى مايو 2008

Venkatapati & Co (Audit Firm) Salem, Tamil Nadu. Audit Assistant (4 years) June '05 - May '08


Computer skill:
❖ Operating Systems: Windows XP & Windows7.
❖ Accounting Software: Tally ERP 9.2, Saral TDS Software.
❖ Application Program: MS Office2010. (Interested in MS-Excel)


Job Responsibilities as Accounts Executive:
Monthly Reporting:
❖ Preparing Monthly MIS
❖ General Ledger Accounting
❖ Finalization of books of Accounts
❖ Cash Flow Statement


Accounts Payable:
❖ Verifying & Accounting Invoices (PO & Non PO Invoices) by Using Tally ERP 9.0
❖ Releasing payments as per Credit Period
❖ Generating AP Statement Weekly
❖ Obtaining Balance Confirmation from the Vendor
❖ Preparation of Creditor Reconciliation
❖ Statement of Non-Recurring invoices
❖ Employee Reimbursement
❖ Payroll Processing

Tax deduction at source (WHT):
❖ TDS e-Payments
❖ Reconciliation of TDS Payments
❖ Updating data of Form 26Q & Form 27Q into the Saral TDS Software
❖ E-Returns - Every Quarterly
❖ Generating Form 16A on Quarterly
❖ Analyzing and solving "Defaults"

Service Tax:
❖ Service Tax Payments under Reverse Charge method
❖ Creating Input Register
❖ Preparation of ST Returns in Form ST-3
❖ Preparation of ST Refund Claim under Notification 5/2006 & 17/2011
❖ Reconciliation Between Input Register and Refund Claim
❖ Coordinating with Deloitte for getting Declaration Form
❖ Working and Analyzing towards SCN, Reply of SCN, PH, Order in Original and Appeal
❖ Providing Necessary documents to KPMG When Discriminate with ST Department
❖ Issuing Statutory "Form A1"

Month End Obligation:
❖ Preparation of MIS Report
❖ Budgeting cash inflow & Outflow
❖ Maintaining FA Register
❖ Passing Monthly Depreciation Entry
❖ Preparation of Capex Report
❖ Bank Reconciliation Statement
❖ Inter Company Reconciliation Statement
❖ Vendor's Invoice Reconciliation Statement
❖ Reporting Aging Invoices
❖ Making Provision
❖ Analyzing the cost break up in Cost Center wise
❖ Moving Prepaid cost to P&L Account
❖ Preparation of AP metric
❖ Scrutinizing Vendor Ledgers


KVAT:
❖ Furnishing KVAT "Form 100" and Calculating VAT payable
❖ Accounting and Processing of Canteen VAT with payment
❖ Processing of E-Payment & Filing VAT Return
❖ Preparing a Letter for VAT Refund Claim
❖ Issuing Statutory "Form C" & "Form H"

Accounts Receivable:
❖ Generating invoices to Customer
❖ Pass Forex Accounting entries
❖ Preparation of Debtors Reconciliation
❖ Follow up with Customer for Non Payment
❖ Ensure to obtain the FIRC from the Bank

Prominent Activities:
❖ Prepared Standard Operating Procedure for Accounts Payable, Accounts Receivable, A2 Remittance &TDS Process to bring into streamline
❖ Successfully set up credit period and reduced cost of fund.
❖ By Efficient process for Service Tax and resulted to get refund order INR 2.5 Crore

Job Responsibilities as Audit Assistant:
❖ Filing of Individual Income Tax Return.
❖ Drafting of Audit Programme.
❖ Scrutinizing of Books of Accounts.
❖ Physical Verification of Fixed Asset, Maintenance of FA Register & Depreciation Statement.
❖ Physical Verification of Stocks & Stock book.
❖ Verification of Purchase Register (Income & Outgoing Material)
❖ Verification of Fixed Deposit Register and Receipt.
❖ Verification of Statutory Payments (PF, ESI, PT, Income Tax)
❖ Drafting of Audit Queries & Reports.
❖ Handling Petty Cash book Receipt & Payment of Firm.
❖ Liaison with Bank.

الخلفية التعليمية

ماجستير, Accountancy
  • في Institute Of Chartered Accountants Of India
  • نوفمبر 2011

Chartered Accountant (C.A) Intermediate (Group I) Institute Of Chartered Accountants Of India (ICAI) 2011

بكالوريوس,
  • في Alagappa University
  • يناير 2007

B.com Alagappa University, Karaikudi, Tamil Nadu. 2007

دبلوم, Computer
  • في CCI Institute
  • يناير 2003

DCA - CCI Institute at Salem Tamilnadu

الثانوية العامة أو ما يعادلها, PCBZ
  • في Govt Boys Sec School
  • يناير 2002

SSLC & +2 - Govt Boys Sec.School, Vennandur Tamilnadu - 637505

Specialties & Skills

General Ledger
Accounts Receivable
Accounts Payable
Monthly Closing
MIS Reporting
ACCOUNTING
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLE
AUTOMATED PAYROLL
BANK RECONCILIATION
BUDGETING

اللغات

الانجليزية
متمرّس
التاميلية
متمرّس

الهوايات

  • Music & Cricket