At Bhuj Polymers Pvt. Ltd., I handle bank ledger reconciliations across bank, vendor, and GL accounts, investigate open items, and prepare reconciliation reports. I also process vendor payments and support AP and P2P workflows, including three-way matching and overpayment recovery.
I process foreign inward remittances and reconcile forex transactions, supporting month-end close and audit requirements. I contributed to standardizing reconciliation processes by authoring bank, vendor, and forex SOPs.

