George V Cherian, Senior Accountant

George V Cherian

Senior Accountant

NMGT

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, MBA Finance
Expérience
15 années, 3 mois

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Expériences professionnelles

Total des années d'expérience :15 années, 3 mois

Senior Accountant à NMGT
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis avril 2012

Responsibilities:
 Payables responsibilities(A/P):
 Receiving, Scrutinizing & validating the vendor invoices based on LPO.
 Obtaining necessary approval & processing vendor payment as per payment terms.
 Reconciliation of vendor accounts periodically.
 Monitor accounts to ensure payments are up to date
 Correspond with vendors and respond to inquiries
 Produce monthly reports
 Receivables responsibilities(A/R):
 Maintain up-to-date billing system
 Follow up, collection and allocation of payments
 Carry out billing, collection and reporting activities according to specific deadlines
 Reconciliation of accounts
 Monitoring customer account details for non payments, delayed payments and other irregularities
 Follow established procedures for processing receipts, cash etc

 Cash and Bank responsibilities:
 Responsible for maintaining the petty cash.
 Recording all payments & receipts in system
 Bank correspondence: cheques, transfers, exchange…etc.
 Responsible for preparing bank reconciliation statements on a monthly basis.
 Payroll responsibilities:
 Collect, confirm and process timesheets and overtime
 Prepare and distribute payroll transfer letter and cheques using WPS.
 Track employee vacation and sick time.
 Preparation of Financial Statements:
 Prepares monthly financial statements for 3 divisions in NMGT.
 Assisting Internal & External Auditors:
 Work with external auditors; prepare audit schedules, provide explanations of schedules and related variances if any and other audit related work as required.

Senior Finance Executive à hp(hewlett-packard)
  • Inde - Chennai
  • avril 2010 à octobre 2011

Responsibilities:
 Validating New Sales / Deals submitted to New Sales Reporting Team
 Validating commission requests and preparing commission statements
 Sales payroll preparation and reporting to regional payroll teams.
 Reporting sales and commission particulars to the top management.
 Collecting the entire data regarding the team’s performance & publishing the Matrix.
 Coordinating with Global Business Managers for resolution of queries
 Controlling and managing various projects with clients& Balance sheet reconciliation
 Initiate Internal Billing based on the Technical documents provided which impact the HP cost centers globally

Transcation Officer à Royal Bank of Scotland(RBS)
  • Inde - Chennai
  • novembre 2009 à avril 2010

Responsibilities:
 Validating export trade collections and SWIFT code.
 CAAML screening of clients as per banking guideline

Accountant à Plesant Food Products
  • Inde
  • mars 2006 à juillet 2007

Responsibilities:
 Computerized accounting using Tally.
 Preparation of journals, Vouchers, Ledger, daybook, cash book& bank books
 Preparation of monthly bank reconciliation statements.
 Preparation of Trial balance & quarterly final accounts.
 Preparation of periodic financial reports to the management & authorities.
 Preparation of salary statements of employees.
 Preparation of cash flow and fund flow statements
 Assisting the auditors at the time of audit and preparing budget.
 Preparation of Monthly Stock statement

Éducation

Baccalauréat, MBA Finance
  • à Karunya University
  • mai 2009
Baccalauréat, Accountancy
  • à M G University
  • mars 2006

Specialties & Skills

Langues

Anglais
Expert
Malayala
Expert
Tamil
Expert
Hindi
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