Medavakkam, Chennai, India - 600100.
43
Details verified of Madhavan Chandrashekaran✕
Identity
Education
Know how UrbanPro verifies Tutor details
Identity is verified based on matching the details uploaded by the Tutor with government databases.
English
Hindi
Tamil
Medavakkam, Chennai, India - 600100
Education Verified
Phone Verified
Email Verified
Report this Profile
Is this listing inaccurate or duplicate? Any other problem?
Please tell us about the problem and we will fix it.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 11 Tuition
5
Board
International Baccalaureate, State, ISC/ICSE, CBSE
CBSE Subjects taught
Accountancy
Taught in School or College
No
State Syllabus Subjects taught
Accountancy
Teaching Experience in detail in Class 11 Tuition
I n Pune I have taught the subject to many students and acheive 100 % result. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 12 Tuition
5
Board
International Baccalaureate, State, ISC/ICSE, CBSE
CBSE Subjects taught
Accountancy
Taught in School or College
No
State Syllabus Subjects taught
Accountancy
Teaching Experience in detail in Class 12 Tuition
I n Pune I have taught the subject to many students and acheive 100 % result. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 9 Tuition
5
Board
CBSE, International Baccalaureate, ICSE, State
IB Subjects taught
History, English, Geography, Hindi
CBSE Subjects taught
Accountancy, Tamil, English, Science, Hindi
ICSE Subjects taught
Geography, EVS, Hindi, English, EVS
Taught in School or College
No
State Syllabus Subjects taught
EVS, Science, English, Tamil, Hindi
Teaching Experience in detail in Class 9 Tuition
In Pune I have taught accounts since 5 years to many students.I am very friendly with students so that their growth will be more.below is my detailed profile. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 10 Tuition
5
Board
CBSE, International Baccalaureate, ICSE, State
IB Subjects taught
History, English, Geography, Hindi
CBSE Subjects taught
Accountancy, Tamil, English, Science, Hindi
ICSE Subjects taught
Geography, EVS, Hindi, English, EVS
Taught in School or College
No
State Syllabus Subjects taught
EVS, Science, English, Tamil, Hindi
Teaching Experience in detail in Class 10 Tuition
In Pune I have taught accounts since 5 years to many students.I am very friendly with students so that their growth will be more.below is my detailed profile. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Nursery-KG Tuition
5
Subject
English, Drawing, Mathematics, EVS
Taught in School or College
No
Teaching Experience in detail in Nursery-KG Tuition
I will teach all the subject to children in lovely way.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class I-V Tuition
5
Board
State, International Baccalaureate, CBSE, ICSE, IGCSE
IB Subjects taught
Science, French, Social studies, English, Computers, Hindi
CBSE Subjects taught
Hindi, EVS, English, Science, Computers
ICSE Subjects taught
Science, EVS, Hindi, English, Social Studies
IGCSE Subjects taught
Science, English
Taught in School or College
No
State Syllabus Subjects taught
Social Science, Sanskrit, EVS, Science, English, Hindi, Tamil
Teaching Experience in detail in Class I-V Tuition
I will teach all subject except Maths.I will be teaching students in lovely manner.
1. Which school boards of Class 12 do you teach for?
International Baccalaureate, State, ISC/ICSE and others
2. Have you ever taught in any School or College?
No
3. Which classes do you teach?
I teach Class 10 Tuition, Class 11 Tuition, Class 12 Tuition, Class 9 Tuition, Class I-V Tuition, Class VI-VIII Tuition, Nursery-KG Tuition and Tuition Classes.
4. Do you provide a demo class?
Yes, I provide a free demo class.
5. How many years of experience do you have?
I have been teaching for 5 years.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 11 Tuition
5
Board
International Baccalaureate, State, ISC/ICSE, CBSE
CBSE Subjects taught
Accountancy
Taught in School or College
No
State Syllabus Subjects taught
Accountancy
Teaching Experience in detail in Class 11 Tuition
I n Pune I have taught the subject to many students and acheive 100 % result. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 12 Tuition
5
Board
International Baccalaureate, State, ISC/ICSE, CBSE
CBSE Subjects taught
Accountancy
Taught in School or College
No
State Syllabus Subjects taught
Accountancy
Teaching Experience in detail in Class 12 Tuition
I n Pune I have taught the subject to many students and acheive 100 % result. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 9 Tuition
5
Board
CBSE, International Baccalaureate, ICSE, State
IB Subjects taught
History, English, Geography, Hindi
CBSE Subjects taught
Accountancy, Tamil, English, Science, Hindi
ICSE Subjects taught
Geography, EVS, Hindi, English, EVS
Taught in School or College
No
State Syllabus Subjects taught
EVS, Science, English, Tamil, Hindi
Teaching Experience in detail in Class 9 Tuition
In Pune I have taught accounts since 5 years to many students.I am very friendly with students so that their growth will be more.below is my detailed profile. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class 10 Tuition
5
Board
CBSE, International Baccalaureate, ICSE, State
IB Subjects taught
History, English, Geography, Hindi
CBSE Subjects taught
Accountancy, Tamil, English, Science, Hindi
ICSE Subjects taught
Geography, EVS, Hindi, English, EVS
Taught in School or College
No
State Syllabus Subjects taught
EVS, Science, English, Tamil, Hindi
Teaching Experience in detail in Class 10 Tuition
In Pune I have taught accounts since 5 years to many students.I am very friendly with students so that their growth will be more.below is my detailed profile. 1. Current Employment:- State Street Syntel Services P. Ltd. …(Jan-2012to Dec-2015) Outsourcing firm providing financial and accounting services. ? Worked with “State Street Syntel Services Pvt. Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114. ? Working Criteria:- Working as an-Associate inUS Insurance Accounting, (PAM) Portfolio Accounting and Management, here we do portfolio accounting for Insurance companies based in US. In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing’ such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation’ between PAM Database and Custody Database holdings on daily basis. While processing we need to look into below actions and activities: Job Description: • Basically we involve into Trade as per the instruction by Investment Manager or the client. Performing Financial Transaction like Purchase, Sale, Cancelation bank loanetc& Cosmetic Correction on Behalf of Client. • Dealing in Equities. Fixed Income Securities, MM Instrument. • Capturing Trade in ITW Application and Processing in the PAM Database. Reconcile Trade Between ITW and PAM • Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC. • Review of SMF Setup, Manual Trade, Trade Recon. • Performing Trade Reconciliation and Resolving Discrepancies. Sending Reconciliation Report to Clients. • An SME Monitoring and Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues. • Responsible For Correcting Discrepancies and explaining monthly Differences. In account analysis and Reconciliation. Job Responsibilities: • Preparing OJT Plan and Giving Process Training to New Joiners. • Trade Assessment of New Joiners after Training, Cascading New Updates to Team. 2. Previous Employment:- Jyoti Heat Treat Industry …(Aug-2010 to Dec-2011) Heat treat unit based in MIDC Bhosari, Pune. Designation: Store Assistant & Accountant Responsibilities Handled: • Working as a Store Accountant responsible for inward and outward of materials. • Dealt with sales labour charges billing and month end billing. • Booking of journal entries (Purchase/sales/accruals/cash,etc.) in Tally Software. • Performing bank reconciliation and resolving differences. • Liaising with Tax Consultant for sales tax, purchase tax.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Nursery-KG Tuition
5
Subject
English, Drawing, Mathematics, EVS
Taught in School or College
No
Teaching Experience in detail in Nursery-KG Tuition
I will teach all the subject to children in lovely way.
Class Location
Online (video chat via skype, google hangout etc)
Student's Home
Tutor's Home
Years of Experience in Class I-V Tuition
5
Board
State, International Baccalaureate, CBSE, ICSE, IGCSE
IB Subjects taught
Science, French, Social studies, English, Computers, Hindi
CBSE Subjects taught
Hindi, EVS, English, Science, Computers
ICSE Subjects taught
Science, EVS, Hindi, English, Social Studies
IGCSE Subjects taught
Science, English
Taught in School or College
No
State Syllabus Subjects taught
Social Science, Sanskrit, EVS, Science, English, Hindi, Tamil
Teaching Experience in detail in Class I-V Tuition
I will teach all subject except Maths.I will be teaching students in lovely manner.
Post your Learning Need
Let us shortlist and give the best tutors and institutes.
or
Send Enquiry to Madhavan Chandrashekaran
Let Madhavan Chandrashekaran know you are interested in their class
Reply to 's review
Enter your reply*
Your reply has been successfully submitted.