Motivated and organized accounting graduate with internship experience in financial data entry, invoice processing, and bank reconciliation. Eager to contribute to a dynamic finance team by applying strong attention to detail and foundational knowledge of accounting principles. Proficient in Microsoft Excel and familiar with accounting software like Tally Prime.
Overview
2
2
years of professional experience
Work History
Account Assistant
Choice Roof Insulation Contracting
Ras Al Khor, Dubai
11.2024 - 06.2025
Recording Transactions: Maintaining daily financial transactions in accounting software, such as accounts payable and receivable, expense entries, sales entries, Petty cash and bank transactions.
Project Cost Tracking: Monitoring and recording costs for materials, labor, equipment, and subcontractors for specific projects. Ensuring all costs are accurately assigned to the appropriate the project.
Reconciliation: Assisting in reconciling bank statements, accounts, and financial discrepancies to ensure the accuracy of financial data.
Preparing Reports: Helping in the preparation of financial reports, such as balance sheets, profit and loss statements, and cash flow statements for management review.
Collaborated with team members to streamline accounts payable processes, enhancing operational efficiency.
Responded to vendor inquiries, resolving discrepancies and fostering positive relationships.
Maintained organized filing system for financial documents, improving accessibility and retrieval times.
Process Associate
HCL Technologies LTD
Chennai
02.2023 - 04.2024
Review patient billing records, insurance claims, and documentation to ensure accuracy and completeness.
Strong understanding of clinical processes and medical terminology related to the products and services offered by Apria.
Verify insurance coverage, eligibility, and authorization for services and products provided by Apria Healthcare.
Identify and resolve billing discrepancies, coding errors, and denials to minimize revenue leakage.
Understanding of pharmacy workflow operations, medication dispensing procedures, and regulatory requirements governing pharmacy practice.
Maintain accurate records and documentation of revenue qualification activities in compliance with regulatory requirements.
Developed and maintained process documentation to standardize operations across the team.
Managed multiple tasks simultaneously, ensuring timely completion of all assignments.