Chayanika Basak Duttaemail:
mob: +91-9654360280
PROFESSIONAL PROFILE
I am an enthusiastic and dedicated professional with extensive experience across all areas of Accounting. I can demonstrate a strong ability to manage successfulwork completion. I perform effectively even within a highly pressurised working environment.
EDUCATION AND QUALIFICATIONS
PGDM Finance
/All India Management Association, Lodhi Road in 2007 with 3.11 CGPA
B.I.B.F
/Jamia Millia Islamia University in 2004 with 69%
Schooling
/Arwachin Bharti Bhawan, Vivek Vihar in 1999 (Commerce) with 68%
Additional
/SAP FICO certification short term course from DUCAT, Noida
CAREER SUMMARY
Business Sweden – Sweden Embassy Trade Division June 2011 – till date
Accounts Payable
- Vendor invoices verification,scrutiny & processing Payments (Cheque/e transfer mode).
- Timely vendor payment as per defined guidelines/ schedule .
- Vendor management,handling payment etc query .
- Vendor accounts Reconciliation,raising Debit/credit notes .
- Follow up for correction/clarification/issues in invoicesfor payments.
- Releasing Form 16A.
- Purchase order & documentation for procurement .
- Establishing Vendor credit policy.
Fund Management/Bank Dealings
- Responsible for monthly Bank account reconciliation.
- Bank coordination for Forex, remittance, Fixed Deposit rates, FIRC, RTGS, NEFT, inter-bank fund Transfers , interest certificate etc.
- Anticipating funds requirement, requesting HO for monthly fund transfers.
- Yearend adjustment entries Bank interest,TDS deducted, transferring differential balances to Short & excess A/c .
- MIS report on all Bank Balances.
- Maintaining Quarterly/monthly average balance for all Bank accounts.
General Accounting
- Keeping/maintaining books of accounts & Journals in Agresso(Netherland based ERP software solution).
- Ledger scrutiny & Accounts reconciliation.
- Financial reporting for management meeting.
- Assist in Balance sheet/ P&L reporting, balance specifications, forecasting /budgeting.
- Cheque writing/ e- transfers.
- Yearend payable entries.
- Monthly/middy year/ yearly closureactivities.
- Maintaining order stock value for revenue booked in a particular month (sales lead).
Cash Management
- Daily Petty Cash management & monthly cash reconciliation.
- Weekly Cash Budgeting for incurring admin expenses.
- MIS report on cash in & out- flow , Fund requirement & analysis.
Accounts ReceivablesInvoicing
- Monthly report/expense extraction for invoicing.
- Uploading invoices as per monthly schedule.
- Dispatching invoices & expense report to client.
- Client Interaction in case they need any clarification in invoicing.
- Tracking monthly invoicing receivable status.
- Follow up with client in case of non- receipt of payment.
Business Support Services
- Handling end to end activities for BSO-employment/space/housing/ book keeping.
- Processing BSO salary, employment contracts, vendor payment deducting TDS as per applicable ,filling Service tax.
- Processing BSO expense & travel claim reimbursement.
- Accounting BSO Salary/ expense/travel claim /vendor payments in Agressosoftware.
- Seeking approval for Travel/expense/paymentwith respective project manager andclients.
- Vendor payment (Cash/cheque/etransfer) on client behalf.
- Monthly invoicing to client.
- Running book keeping assignment for client – including bank/cash payment, booking in their software.
- Assisting client with logistics eg. hotel/ Air ticket / taxi bookingetc.
- Travelling along with client for seminar/ events
Time sheet Management
- Ensuring Employees are submitting their Timesheet on weekly basis.
- Reports extraction to analyse per Employee billability.
Payroll Processing
- Processing employee payroll – Delhi & Bangalore.
- Updating payroll enrties in Agresso.
- Yearly salary certificates to employees.
- Preparingforwarding salary debit instruction letter to the bank for transfers on particular date.
- Coordination with Employee for Investment declarations, Investment Proof etc, Medical , LTA etc .
Other Ad Hoc Activities
- Audit support , providing them with relevant reports, document & Invoices.
- Correcting books of accounts as suggested by Auditors.
- Employees Group Insurance & Personal accident policy renewal .
- Maintaining files as per filling policy.
- Maintaining Physical Fixed asset register for any new Asset Addition/Deletion/ Repair & maintenance etc , inventory list .
- Ratio Analysis for Financial reporting.
- Project management activities inclusive project creation/deletion/updating forecast/POC run etc
- Partner search activities.
- Assisting in Visa facilitation, supporting them with Visa invitation, covering letter, documents required .
- Consignment clearance through freight forwarding agents.
- Involved in arranging events/seminars in office , handles all operational activities during event inclusive of logistics/caterer/ invitation cards/tents/furnitures/media/ coordination with event mgt companies etc.
- Traffic police permission during any event/fairs/ seminars etc
- Arranging for Expat housing /rental/operational activities/ FRRO/Visa assistance.
Achievement in Project :-
- Successfully managed to run PAN registration project for Swedish client .
- Arranged official kickoff offshore meeting – travel logistic/ lodging/boarding /meeting minutes
- Supported Trade Commissioner in fixing meeting in Sweden
- Travelled to Sweden twice for training client meeting to understand their business prospects/ opportunities in India
- Participated in Tender Bidding process for one of client in Defence sector
- Supported in organizing - event/seminar/delegations – Vibrant Gujarat /ICT delegation/Food security
- Post merger between Business Sweden & Invest , took over Finance responsibly
Previous Experience
Vichara Technology (I) Pvt Ltd
SR. ACCOUNTSASSOCIATE(April2007-Till date)
Accounts Payable
- Responsible for Accounts payable, Vendor invoicesProcessing , Analysis & verification of Bills,vouchers for Payments
- Responsible for TDS deduction on accounts payable (TDS – salary/Rent/Professionals/Contractor).
- Vendor Query Management,Vendor accounts Reconciliation, Ageing analysis, Debit Credit notes etc.
- Coordination for Vendor/Supplier for Form 16A, Preparing Provisional Form 16 A.
- Purchase documentation/Purchase Orders/Physical Audit & Liasoning with Departments.
- Establish Vendor credit lines & set up credit accounts with vendor.
Bank Dealings
- Responsible for monthly Bank account reconciliation.
- Bank coordination/interaction for Forex dealings, Fixed Deposits, FIRC, RTGS, Daily Transfers etc.
- Fund management, Payment & allocating funds in most profitable securities as per existing profitable rates.
- Year-end Adjustment entries for interest, transferring balances to Short & excess A/c , Interest certificate etc.
- MIS report on all Bank Balances,
- Maintaining QAB/MAB of all Banks & ensuring inter Bank transfers as required .
General Accounting
- Keeping track of daily books of accounts & Journals in QuickBooks.
- Ledger scrutiny & Accounts recociliation.
- QuickbooksVendorlist along with categorization.
- Quickbooks report extraction for Reporting.
- Cheque writing & updating in Sheets/Qbooks.
- Year end adjustment/payable entries.
Cash Management
- Daily Petty Cash management.
- Cash Budgeting weekly/monthly basis.
- Cash reimbursement for daily Admin expenses, Travel Reimbursmentetc.
- MIS report on cash in& outflow & Fund requirement & analysis.
- MIS report on cash Expenses incurred on Automobile, Toll, Diesel, Travel, Daily meals etc.
Taxation
- Responsible for monthly TDS deduction/ finalization on Vendor payments.
- Online TDS deposit.
- Service tax calculation on Invoices.
- Maintaining Service Tax CENVAT register.
- Assist in Filing returns for TDS,Service tax, Sales Tax , Shop & Establishmentetcop & Establishmens/Funds etc.s.
Accounts Receivables
- Employee Timesheet management in Dovico & Ehour Timesheet Software.
- Extracts Reports from timesheets for Billable Invoices.
- Generation of Invoices & further approvals from Management .
- Tracking record of payment received from Clients & depositing into Bank .
Payroll Processing
- Employee coordination for Investment declarations, Investment Proof etc .
- Providing Employee payroll adjustments/deductions details to Manager.
- Maintaining Payroll in Quick Books.
US Books
- Keeping track on Credit Card payments.
- Maintaining US payroll in Quick Books.
- Maintaining US Bank accounts, Bank Reconciliation etc .
Other AdHoc Activities
- Audit support for queries & providing them with relevant reports, document & Invoices.
- Assist in Statutory Audit and Finalization of Books.
- Correction of books of Accounts as suggested by Auditors.
- Updating Physical Fixed asset register for any new Asset Addition/Deletion.
- Physical Verification of Assets .
- Proper record on Repair & maintenance cost on Fixed Asset.
- Ratio Analysis.
Next Gen Publishing Ltd
Accounts & Customer Support Executive (May 2005- March 2007)
- Daily Petty Cash management, Reimbursements, Cash Budgeting.
- MIS report on Cash inflow & Outflow.
- Maintenance of Daliy books of Accounts.
- Designing Discount policy on Contract depending on Quotations & product offered.
- TDS(Advertising) calculation/deduction on every contract booked.
- Coordination for Form 16A.
- Daily MIS report on revenue generation.
- Liaison with Sales department for increasing revenue.
- Sales Budgeting.
- Bank coordination for Fund allocation, Cheque clearance, Interest certificate etc
- Handles Clients Queries regarding Payment , TDS, Ads, product size, Discount offered etc.
- Customizing Products & Quotes as per customer requirement.
Key I.T. SKILLS
▪MS Word, Excel, Access, PowerPoint, MS office
▪Agresso & Smart Client ERP (Netherland based software )
▪Quickbooks,Tally 7.3/9 ,Dovico,Ehour
ACADEMIC PROJECT
▪Project on Mutual Fund by Standard Chartered bank.
▪Project on Higher Education loans provided by Banks.
PERSONAL DETAILS
Address :Pocket 6, MIG Flats, Mayur Vihar Ph 3, Delhi
Date of Birth:June 1983
Nationality:Indian
Language: English,Hindi,Bengali
Status: Married
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