ACCA FinalistBBS Graduate

Shivraj Thakur

Reconciliation & Financial Reporting Specialist

ACCA Finalist and BBS graduate with experience across bookkeeping, reconciliation, financial reporting, audit support, taxation and financial operations. Skilled in maintaining accurate financial records, resolving discrepancies and supporting clients with reliable accounting information.

Available for accounting & financial support opportunities
Financial REPORTING
Reconciled Accounts
VAT / Tax Compliance
ACCA Professional Level
2+ yearsExperience
Accounting & XeroBookkeeping
Taxation& Compliance
Reconciliation& Financial Control

About

I am Shivraj Thakur, an ACCA Finalist and BBS graduate with professional experience across bookkeeping, accounting operations, reconciliation, financial reporting, audit support, and tax compliance. My work involves maintaining accurate financial records, recording and reviewing transactions, reconciling bank and vendor accounts, supporting accounts payable and receivable, preparing financial reports, and resolving discrepancies to keep financial information reliable and well organized.

I have worked with accounting platforms including Xero, Tally Prime, Tally ERP, Synergy, and Dynamics NAV, along with Excel and other Microsoft Office tools. Beyond day-to-day accounting, I have supported financial closing, statutory compliance, audit documentation, and financial data review, with a strong focus on accuracy, efficiency, and timely delivery.

How I Work

Accuracy. Consistency. Documentation.

I approach accounting work with a strong focus on accuracy, consistency, documentation, and timely completion. Good bookkeeping is more than entering numbers—it is about keeping records clean, identifying discrepancies, maintaining supporting documentation, and ensuring financial information can be relied upon for reporting and decision-making.

What I'm Building Toward

I am continuing to develop my expertise as an accounting professional with a strong interest in international bookkeeping, accounting outsourcing, cloud accounting, and financial reporting. My goal is to combine ACCA studies, practical accounting experience, reconciliation skills, and modern accounting software knowledge to support businesses and international clients with dependable and efficient financial processes.

What I can help with

Practical accounting support focused on accurate records, reconciled accounts and reliable financial information.

Projects

Selected accounting, financial reporting and audit-support case studies documented in the professional portfolio.

01 / FINANCIAL REPORTING

Full-Set Financial Statements for a Retail Trading Business

NAS for MEsVAT ReconciliationTax ComputationFixed Asset Register
NPR 10.5MIllustrative Revenue
NPR 68.5KIllustrative Net Profit
0Reconciling Differences

Prepared a complete set of financial statements including Statement of Financial Position, Statement of Income, Cash Flow Statement, Statement of Changes in Equity and notes. Work included fixed asset registers with dual book/tax depreciation, sales/purchase/VAT reconciliation against IRD records and taxable income computation.

Illustrative figures are shown for format only and are not the client's actual financial data.

02 / AUDIT SUPPORT

Statutory Audit & Internal Control Review for a Cooperative Institution

Statutory AuditManagement LetterAML/CFT ReviewUnqualified Opinion
UnqualifiedAudit Opinion
3Observations
4Review Areas

Supported statutory audit work for a savings and credit cooperative through audit-ready financial statements and supporting schedules, including loan and deposit reconciliations, fixed asset registers, related-party and equity schedules, plus management-letter observations covering internal controls and AML/CFT requirements.

Management-letter observations shown in the source document are illustrative and not the client's actual audit findings.

03 / FINANCIAL REPORTING

Financial Statements for Manufacturing & Trading Entities

Fixed Asset RegisterDual DepreciationInventory ReconciliationIncome Tax
3Asset Categories
Book & TaxDepreciation Basis
2Entities Covered

Prepared financial statements under NAS for MEs for small manufacturing and agri-trading businesses. Work covered fixed asset registers and depreciation schedules on accounting and tax bases, inventory/stock summaries, sales-purchase-VAT reconciliation and income tax computation.

Sample fixed-asset figures in the source document are illustrative and not actual client data.

Resume

Skills, software, education and qualifications.

Accounting

BookkeepingJournal EntriesAP/ARFinancial Closing

Reconciliation

BankVendorAccountDiscrepancy Resolution

Reporting & Compliance

P&LBalance SheetVATTDSAudit Support

Software

XeroTally PrimeTally ERPSynergyDynamics NAVExcelMS Office

Education & Qualifications

  1. ACCA – Professional Level

    Association of Chartered Certified Accountants. Expected completion 2027.

    Relevant coursework: Financial Reporting, Financial Management, Performance Management, Audit and Assurance, Taxation, Strategic Business Reporting, Strategic Business Leader.

  2. Bachelor of Business Studies (BBS)

    Tribhuvan University.

    Relevant coursework: Financial Accounting, Cost and Management Accounting, Financial Management, Business Statistics, Taxation, Auditing, Business Communication.

Download Full CV

A comprehensive record of qualifications, client engagements and technical competencies, formatted for professional review.

Let's connect

Ready to collaborate with someone who treats every number as a story worth telling.