Jeetander Kumar, Accounts Manager

Jeetander Kumar

Accounts Manager

Atlantis Exchange

Location
United Arab Emirates - Dubai
Education
Bachelor's degree, Bachelor of Commerce
Experience
17 years, 10 months

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Work Experience

Total years of experience :17 years, 10 months

Accounts Manager at Atlantis Exchange
  • United Arab Emirates
  • July 2014 to July 2017

• Cash / Fund Management
o Daily fund settlement of Cash Services.
o Fortnightly branch-wise surprise Cash Counting.
o Follow up with banks for collection of Commission on transactions.
o Fortnight payment to Cash Service (Trans Fast etc.)
o Weekly branch-wise Commission distribution on Cash Services.
o Daily Authorization of Telegraph Transactions.

• Management Reporting
o Monthly MIS’s.
o Periodic Profit & Loss & Balance Sheet
o Product wise Revenue Analysis (Currency Buy/Sale).

• Annual Internal Audit (as per UAE Central Bank regulations).
o Assets Register (Addition & Deletion of Assets during Financial Year).
o Amortization & Deprecation schedules for the year.
o Staff Leave Salary, Annual Air-fare & Gratuity Schedules.
o Pre-payments schedules & other supporting reports and coordination with audit team

• Compliance & Central Bank / External reporting
o Annual Central Bank Audit.
o Half yearly branch-wise AML, KYC & Compliance Internal Audit.
o Quarterly reporting of Central Bank (Form 3).
o Monthly Central Bank reporting (Form 1 & Form 2).

Accounts Manager at Economic Exchange Centre
  • United Arab Emirates
  • May 2012 to July 2014

• Cash / Fund Management
o Daily fund settlement of Cash Services.
o Daily Transaction & Refund report (Bank wise) to Remittance & Operations.
o Daily funding in Local as well as Foreign Banks.
o Fortnightly branch-wise surprise Cash Counting.
o Follow up with banks for collection of Commission on transactions.
o Fortnight payment to Cash Service (Western Union, Xpress Money, Instant Cash & Trans Fast etc.)
o Weekly branch-wise Commission distribution on Cash Services.
o Daily Authorization of Telegraph Transactions.

• Management Reporting
o Monthly MIS’s.
o Monthly Customer wise Transaction Analysis.
o Product wise Revenue Analysis (Cash Buy/Sale & Telegraphic Transfer).
o Multi-level Transaction analysis.
o Periodic Profit & Loss & Balance Sheet
o Product wise Revenue Analysis (Cash Buy/Sale & Telegraphic Transfer).
o Monthly Currency & Ledger Revaluation.

o Annual Internal Audit (as per UAE Central Bank regulations).
o Branch-wise Trial balance.
o Inter branch Reconciliation.
o Assets Register (Addition & Deletion of Assets during Financial Year).
o Amortization & Deprecation schedules for the year.
o Bank Guarantees & Interest workings on Bank Guarantees (Both Local & Int’l Banks).
o Staff Leave Salary, Annual Air-fare & Gratuity Schedules.
o Pre-payments schedules & other supporting reports and coordination with audit team

• Compliance & Central Bank / External reporting
o Annual Central Bank Audit.
o Half yearly branch-wise AML, KYC & Compliance Internal Audit.
o Quarterly reporting of Central Bank (Form 3).
o Monthly Central Bank reporting (Form 1 & Form 2).

Assistant Branch Manager at Economic Exchange Centre
  • United Arab Emirates - Sharjah
  • December 2011 to April 2012

• Responsible for overall transactions, Home Remittance & Commercial Transactions.
• Responsible for FX conversion Rates of foreign currencies on daily basis.
• Responsible for marketing to camps for WPS & Remittance transactions.
• Responsible for uploading of remittance transactions on respective bank terminals for disbursement.

Senior Accountant at Carlton Hotel
  • Pakistan
  • August 2004 to June 2007
Accountant at Pak Saudi Aviation
  • Pakistan
  • April 2003 to June 2004
Accountant at I. M. K Enterprises
  • November 2000 to January 2003
Assistant Accountant at for
  • January 1999 to November 2000

From

MIS Coordinator at for “Meezan Bank Pakistan
  • to

Education

Bachelor's degree, Bachelor of Commerce
  • at University of Karachi
  • January 1996
Bachelor's degree, Intermediate
  • at Adamjee Government Science College, KarachiIslam “National Pilot” Secondary School
  • January 1991

Specialties & Skills

Preparation
General Ledger
Balance
Banking
ACCOUNTING
ACCOUNTING SOFTWARE
ANALYTICAL SKILLS
AUDITING
BUDGET PLANNING
CASH FLOW
CONTRACT MANAGEMENT