Pranita Sachin Sawant
About Candidate
To establish myself as a committed, hardworking, and successful team player aiming to achieve
corporate goals and to work in a professional and challenging environment which provides stimulus for
growth, which can be utilized for the development of the organization
Skills
Location
Education
Work & Experience
Book-keeping of Client (Input Credit (Purchase), Sales, Payment Receipt, Journal. Provision Entry P&L, Depriciation) Bank Reconciliation. Preparing Financial working of Client - B/S, P & L, Computation and Schedule, Capital Gains. Income Tax Return filling – Individual /Company (Cleartaxcloud software) Email to Client (Computation & Payable Tax) GST Return Filling – GSTR1, GSTR3B, etc. Prepared Summery - GST , Bank etc. Prepared Working – GST,TDS etc. Online status Checking Input credit GST 2A Reconcile of Debtors , Creditors & TDS etc. Download 26 AS.
Collect Fees Daily Basis & Record Entry in Tally ERP9. Contra, Payment, Receipt, Purchase, Journal etc. Payment – TDS, PT, PF, GST, Vendors (NEFT/RTGS), Salary, etc. Excel Working – TDS, GST, PT, PF, etc. Return Filling – TDS, P.T.,etc. Reconciliation of Bank, Petty Cash, Debtors and Creditors, Indirect Expenses, Payroll, etc. Prepared Invoice Sales & Purchase in Tally Erp9. Follow-up for payment. Maintain records of all Utilities/payment of the same. Process of monthly Salary Statement. Issue Certificate/ Form -26 AS, Form 16/16A, etc. Monthly Basis Bank Reconciliation.
Passing day-to-day all accounting entries (Contra, Sales, Purchase, Payment, Receipt & Journal Tally ERP9. Calculation of Quarterly VAT/Sales Tax & Update Sales & Purchase data in VAT xpress software & Filling return. Update in Spectrum Software from Tally ERP.9 (Trading, P&L, Capital & B/S) & Filling return. Preparing & Documentation for TDS &VAT filling Return. Preparing Excel Summary of TDS, VAT, Service Tax, PT. Preparing Tally Bank Reconciliation. Réconciliation of Debtors & Creditors. Sales & Purchase Bill Entry and Co-ordinate with Clients. Inventory Ledger Creations. Deposit of cheques received from customer in bank. Prepared Salary Statements.