Was part of the team assigned at TMFBL for the purpose of reconciliation of the Fixed Assets
Register with the physical verifications performed.
Assisted the team in identifying problem areas with clients fixed asset register.
Performed reconciliation on Fixed asset register with physical counting sheet in order to verify existence.
Was part of a finance team which was responsible for book keeping of bank transactions, reconciling the accounts and filling tax returns for 170 clients based in United States .
Came across with processing transactions of 20 clients using Quick books accounting software.
Was responsible for reconciliation for clients bank statement, Calculation of payroll, sales tax and recording their books at the end of each month.
Worked on preparing Tax returns for clients through Lacerte professional tax software.