MANDEEP KAUR SIDHU

MANDEEP KAUR SIDHU

Senior Account Officer

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location of MANDEEP KAUR SIDHUBennett Springs, Western Australia, Australia

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  • Timeline

  • About me

    Chartered Accountant & CPA Australia

  • Education

    • Ranchi University

      2008 - 2011
      Bachelor of Commerce - BCom Accounting and Finance
    • The Institute of Chartered Accountants of India

      2007 - 2012
      Master's degree Accounting and Finance

      Qualified CA since May 2012

    • CPA Australia

      2021 - 2022
      Associate's degree Accounting and Finance

      Qualified CPA Australia in 2022.

  • Experience

    • JMT AUTO

      Feb 2013 - Apr 2015
      Senior Account Officer

      Prepared and submitted required financial statements as per schedule VI. Carried out monthly preparation of Profit & Loss A/C. Managed the preparation of CMA reports and bank related reports. Conducted internal audit to identify areas for improvement and provided recommendation to the management. Prepared MIS reports and submitted to management in a timely manner. Provided management on Taxation matters, Stock audit and carried out due diligence work.

    • Reflexallen Group

      Apr 2016 - Oct 2021
      MANAGER

      Performed monitoring as well as prepared and submitted reports of KPIs and MIS Reports to Headquarters in Italy. Gathered information and identified areas of opportunity for Cost Reduction, Pareto Analysis and reducing finance cost. Determined requirements to ensure correct budgeting, forecasting, costing and analysing throughput of products. Undertook investment feasibility analysis for CAPEX using Capital Budgeting, Sensitivity Analysis and Net Present Value (NPV). Carried out tasks of identifying, evaluating measured and utilised results to develop strategies to overcome constraints. Provided oversight on the utilisation of working capital through regular reviews of debtors and creditors outstanding accounts. Maintained effective cashflow by monitoring and managing Debtors and Creditors ageing with balance reconciliation. Contributed to the reduction in Inventory through diligent monitoring of consumption report. Managed relationships with subcontractors to ensure completion of required works including tracking the material sent for job work and comparing them with the work outcomes. Collected data to check and control Variable and Semi Variable Cost. Reviewed documents to monitor statutory liabilities related reports such as TDS, GST, professional tax, income tax, etc. Performed variance analysis of Income and Expenses related to annual budget by collating data. Provided support to relevant personnel for the completion of internal and external (statutory) audits. Prepared and submitted monthly profit & Loss A/C which included comparative analysis of variances with proper reasoning. Took over tasks for the finalisation of Accounts as well as for the preparation of Financial Statements. Considered various factors and provided decision making in the implementation of accounting software i.e., Microsoft Dynamic NAV 16. Show less

    • Sudisa Foundry Private Limited - India

      Oct 2018 - May 2019
      Account Manager

      Worked to support the installation of SAP 4 HANA (Accounting software)

    • Elite tax success

      Nov 2022 - Mar 2023
      Consultant

      Managing transactional activities with acquired and small entitiesPreparing account analysis for group and statutory reportingSupporting with internal and external audit activitiesUndertake accurate and timely complex journal preparation and reconciliationsSupport the monthly and annual reporting Prepare high quality financial statements work papersDevelop and maintain effective working relationships with our clientsUndertake specialist or technical research and analysis to achieve high quality results Show less

    • City of Canning

      Mar 2023 - Jun 2023
      Senior Finance Officer

      Ensure the reconciliation and processing of the BAS return is completed on time. Complete (ABS) surveys sent to the City by the due date. Prepare and reconcile Fringe Benefit Tax return.Monitoring of Cash Flow on a weekly basis. Analysis of data and reporting the reconciliation prepared. Performing data analysis and reporting on the prepared reconciliation. Responsible for the management of City’s investments. Skilled in collecting, organizing, and analyzing data to prepare accurate and comprehensive monthly reports for management and stakeholders. Demonstrated ability to utilize reporting tools (graphs) and software to create visually appealing and informative monthly reports. Strong attention to detail, ensuring data accuracy and consistency in monthly reports. Assist with preparation of monthly report for council and annual financial statements in compliance with Australian Accounting Standards. Prepare/complete all relevant Grant Acquittal Financial Statements and lodgement of the same to the appropriate funding body. Responsible for monitoring old outstanding balances for all balance sheet accounts and establish a process of review and follow-up of such items. Ensure interest on loans to clubs are calculated, invoiced and statement sent by end of each quarter. Responsible for the preparation and reconciliation of end of month and year report. Train the Finance Team to operate independently and with problem solving attributes through annual goal setting process. Responsible for maintaining existing processes, reviewing processes for efficiency and identify new processes as required in Promapp. Responsible for reviewing and continuously improving service, performance, and procedures within the Finance Team. Actively participate in any finance projects and new implementations and suggest improvements. Responsible for producing monthly reports to Council as required. Show less

    • Department of Health (WA Health)

      Jul 2023 - now
      Finance project officer
  • Licenses & Certifications

    • Executive development program in advanced financial management

      XLRI Jamshedpur