At Empire Foods (Empire Industries Ltd.), I maintain balance sheet controls and validate financial transactions in Microsoft Dynamics Business Central and SAP. I reconcile ledger variances across physical, branch, and Head Office metrics, and prepare daily cash and bank flow reports.
At Tata Consultancy Services, I performed automated bank reconciliations and investigated balance sheet discrepancies, escalating control exceptions and documenting remediation. Earlier, I handled ledger reviews, tax calculations, and ITC reconciliations at Umavalli & Associates, and maintained accounts for freelance clients through Upwork.

