Highly skilled with diverse finance experience. Organized and results-oriented professional capable of identifying deficiencies and potential opportunities for improving business functionality.
Panels billing (IPD and OPD)
Panels receivables
Payroll
Bank Reconciliation
Monthly Tax data preparation and submission
Annuall Tax return preparation and submission
Conusltants and vendor payment
Automated Clearing House
Bank Reconciliation
Journal Entries in Microsoft Dynamics
Daily update bank Payments and Receivables
Receivables
Vendors Payment
Payroll
Bank reconciliation
Bank Deposits
Petty Cash
Data entry in Peachtree software
Clients Insurance Payments
Petty Cash
Aging Report
Maintaining Cash, Cheques, Credit Card and online Payments on daily basis
Branch Administration