Profile Summary

Results-driven operations and finance professional with a diverse background in onboarding compliance, insurance, and financial management. Skilled in leading end-to-end operations, driving process improvements, and implementing automation initiatives to enhance efficiency. Experienced in managing cross-functional teams, mentoring talent, and ensuring regulatory adherence while maintaining high-quality service standards. Strong expertise in financial analysis, accounts management, and client relationship management, with a proven ability to optimize workflows, improve operational metrics, and support strategic business decisions. Recognized for combining analytical rigor with operational excellence to deliver measurable results in complex business environments.

Key Skills

  • Billing & Invoice Management
  • Outstanding Recovery Monitoring
  • General Ledger Scrutiny
  • Bank Reconciliation
  • Vendor Payment Processing
  • GST Return Reconciliation
  • Customer Database Management
  • MIS Reporting
  • Market & Warehouse Audits
  • Billing Discrepancy Resolution
  • Invoice Verification
  • Financial Record Maintenance
  • Credit Limit Monitoring
  • Financial Analysis

 

Employment History

Deputy Manager at Nuvoco Vistas Corporation

August, 2025 - Present Ahmedabad

  • Managing Trade Scheme computations for the West Zone while ensuring RD/PE accuracy across Rajasthan, Gujarat, MP, and Maharashtra.
  • Overseeing scheme budgeting, planning, controls, numbering, approvals, and documentation with precise provision management and posting accuracy.
  • Developing scheme-related MIS, weekly price reports, and comparative analyses, and submitting final scheme calculations for accounting validation.
  • Producing daily operational reports including ship-to-party analytics, dealer performance vs. targets, premium product billing, and outstanding recovery insights.
  • Managing dealer performance dashboards, billed dealer summaries, and high-value customer (Millennium Club) reporting.
  • Delivering additional MIS outputs and data support as required by management for decision-making.
  • Coordinating cross-functional alignment with Sales, Finance, and SCM to ensure seamless execution of trade schemes and operational processes.
  • Implementing process improvements and automation in reporting workflows to enhance accuracy, efficiency, and data turnaround time.
  • Monitoring distributor performance metrics, market penetration trends, and product mix patterns to support strategic business planning.
  • Supporting audits and compliance checks by ensuring data integrity, documentation accuracy, and adherence to corporate policies.

Assistant Manager at J K Cement Ltd.

April, 2016 - July, 2025

Assistant Manager, Bhopal (April, 2023 – July ,2025)
Senior Account Officer, Dehradun (April, 2020 – April, 2023)
Account Officer, Dehradun (April, 2016 – April, 2020)

  • Assistant Manager –J K Cement Ltd.

    Accounts Payable (AP)

    • Managed end-to-end Accounts Payable operations including vendor invoice processing, invoice validation, payment coordination, and ledger scrutiny.
    • Performed 2-way and 3-way matching of PO, GRN, and vendor invoices to ensure accurate accounting and compliance.
    • Processed vendor invoices in SAP while verifying GSTIN details, tax calculations, supporting documents, and approval workflows.
    • Coordinated with logistics, warehouse, and finance teams for resolution of blocked invoices and payment discrepancies.
    • Handled RTGS/NEFT payment processing, vendor reconciliations, and bank reconciliations to ensure timely settlements.
    • Monitored AP ageing, outstanding balances, and pending invoice trackers while ensuring adherence to SLA timelines.
    • Supported internal and external audits by preparing reconciliation statements, invoice records, and compliance documentation.
    • Ensured compliance with GST regulations, statutory requirements, internal financial controls, and company policies.
    • Implemented process improvements in invoice verification, documentation, and reconciliation workflows to improve efficiency and accuracy.

    Accounts Receivable (AR):

    • Managed end-to-end Accounts Receivable operations including customer billing, collections monitoring, account reconciliation, and outstanding recovery tracking.
    • Prepared trade and non-trade billing, dealer invoices, freight billing, and commission processing with proper validation controls.
    • Monitored customer outstanding balances, credit limits, ageing analysis, and collection follow-ups to minimize overdue receivables.
    • Performed customer ledger scrutiny, account reconciliation, and deduction management for accurate financial reporting.
    • Coordinated with sales, dispatch, and logistics teams to resolve billing disputes, short payments, and debit/credit note adjustments.
    • Generated daily/monthly MIS reports related to billing, collections, recovery status, customer ageing, and revenue analysis.
    • Managed dealer onboarding documentation, customer master updates, and financial record maintenance in SAP.
    • Conducted market and warehouse audits to ensure process compliance, billing accuracy, and operational control effectiveness.
    • Supported monthly closing activities, financial analysis, and reporting for management decision-making.

Senior Assistant (Sales Accounts) at Jaiprakash Associates Ltd.

January, 2011 - April, 2016 Chandigarh

  • Prepared monthly financial reports and annual statements by compiling and analyzing financial data, ensuring policy and compliance alignment.
  • Monitored SAP GL, Trial Balance, and key reconciliations (stock, cash, RTGS/cheques) to maintain accuracy and resolve discrepancies.
  • Managed billing functions, including sales promoter billing, third-party commissions, freight, and price uploads for Panipat RMO.
  • Processed employee TA bills, rent payments, and reimbursement claims while ensuring adherence to company policies.
  • Adjusted and reconciled security deposits from stockists, sales promoters, and transporters, maintaining accurate ledger records.
  • Reviewed vendor invoices, validated non-trade sales contracts, and coordinated dealer and promoter reconciliations for timely settlements.
  • Conducted periodic audits, verified GST returns, and ensured compliance with internal controls and regulatory requirements.
  • Prepared financial summaries for management, monitored cash flow, and recommended actions to optimize financial performance.

Amit Srivastava and Company

August, 2004 - April, 2006 Lucknow

  • Performed operational audits, verified financial accuracy across banking workflows, and reviewed petty cash and asset records to maintain compliance.
  • Prepared and analyzed daily financial reports and supported accurate transaction tracking and account verification.
  • Reconciled accounts and bank statements, assisted in preparing financial statements, and ensured alignment with reporting standards.
  • Monitored internal controls, enforced financial procedures, and processed journal entries to maintain precise and compliant financial documentation.

Education

Master Degree (Business Administration)

Uttar Pradesh Technical University

2008


Master Degree (Commerce)

Kanpur University

2004


Bachelor Degree (Commerce)

Kanpur University

2002


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MAYANK TANDON

Deputy Manager

Contact Details


mt.mayank11@gmail.com

Ahmedabad, Gujarat, India

Basic Details


Gender -

Male

Date of Birth -

1981-12-10

Marital Status -

Married

Languages


English


Hindi


Skills


Microsoft Office - (Microsoft Word, Excel, PowerPoint, Outlook, Access)


Internet Applications, SAP, HANA


Certificates


1 Year Computer Course

Institute Name: ITI