c
ca_ashish16

Ashish

@ca_ashish16

EndtoEnd Accounting, Bookkeeping related servies

Inde
Anglais
Certaines informations sont présentées en anglais.
À propos de moi
Chartered Accountant (India) with 10+ years of experience in end-to-end accounting and bookkeeping for businesses and professionals. Highly experienced in Tally, with working knowledge of QuickBooks and Zoho Books. I handle monthly accounting cycles including bank reconciliation, invoicing, accounts payable and receivable, payroll verification, ledger scrutiny, and financial reporting. DISA qualified (4th All India Rank). Seeking remote engagements with US and international clients.... Plus d’infos

Compétences

c
ca_ashish16
Ashish
hors ligne • 

Voir mes services

Comptabilité
I will handle end to end accounting and monthly bookkeeping

Expérience professionnelle

Full-Cycle Accounting & Bookkeeping Services

Technologies Pvt Ltd • Temps partiel

Apr 2025 - Present • 1 yr 5 mos

Monthly Accounting & Bookkeeping Workflow (End-to-End) I provide complete monthly accounting and bookkeeping support, ensuring accurate books, statutory readiness, and reliable financial reporting. My scope of work typically includes: • Reviewing and recording vendor purchase invoices and expense transactions • Recording sales invoices and managing client billing • Posting bank transactions and performing periodic bank reconciliations • Reviewing and managing accounts payable and accounts receivable • Verifying payroll entries and employee reimbursements (including payroll processed through Keka) • Performing detailed ledger scrutiny and passing necessary adjustment entries • Closing books on a monthly basis and preparing Profit & Loss statements and Balance Sheets • Sharing structured, management-ready financial reports to support decision-making

Full-Cycle Accounting & Bookkeeping Services

Nishu Nursery Convent School • Temps partiel

Aug 2019 - Present • 7 yrs 1 mo

Monthly Accounting & Bookkeeping Responsibilities: • Reviewing and recording purchase invoices and expense transactions • Recording fees receipts and managing students wise ledgers • Posting bank transactions and performing bank reconciliations • Monitoring and reconciling accounts payable and accounts receivable • Verifying payroll entries and employee reimbursements (familiar with Keka payroll processes) • Performing detailed ledger scrutiny and passing adjustment entries • Closing books on a monthly basis • Preparing Profit & Loss statements and Balance Sheets • Sharing management-ready financial reports for review and decision-making Experienced in maintaining clean books, timely month-end closures, and reliable financial data for business owners and professionals.