Rohit Sharma — Accounts Manager
Accounts Manager — PSS Security Solutions
About Rohit Sharma
Role overview
Rohit Sharma serves as Accounts Manager at PSS Security Solutions, bringing meticulous financial discipline and operational accuracy to one of Delhi NCR’s most trusted security and facility management companies. In his role, Rohit oversees the complete financial operations of the organisation — from day-to-day billing and invoicing to payroll processing, statutory compliance, and client account management across all active contracts in Delhi, Noida, Gurgaon, Faridabad, and Ghaziabad.
Core expertise
With a deep understanding of the financial requirements specific to the private security industry, Rohit ensures that all client billing is transparent, itemised, and delivered on schedule. He manages statutory contributions including ESI (Employee State Insurance) and PF (Provident Fund) for all deployed security personnel, ensuring full PSARA compliance and protecting both PSS Security Solutions and its clients from any statutory liability. His attention to detail and systematic approach to financial management has been a key pillar of PSS Security Solutions’ reputation for transparency and reliability.
Value to clients
Rohit’s work directly supports the trust that 100+ clients across Delhi NCR place in PSS Security Solutions. By maintaining accurate accounts, prompt payment cycles, and clear financial documentation, he ensures that every client relationship is built on a foundation of financial integrity and professional accountability — from the first invoice to the renewal of long-term contracts.
Skills
Financial Management & Client Billing
Manages billing, invoicing, and accounts receivable for 100+ active client contracts across Delhi NCR, ensuring accurate, itemised, and timely financial documentation for every engagement.
Payroll Processing & Statutory Compliance
Handles monthly payroll for all deployed security personnel, including accurate calculation and remittance of ESI (Employee State Insurance) and PF (Provident Fund) contributions, maintaining full PSARA regulatory compliance.
Client Account Management
Maintains dedicated accounts for each client with complete billing transparency — itemised cost breakdowns, contract-wise statements, and prompt resolution of any billing queries or financial documentation requests.
Financial Reporting & Audit Support
Prepares monthly financial reports, maintains organised documentation for internal and external audits, and supports management with accurate financial data to drive informed business decisions across PSS Security Solutions.