Aldrin Wilson Sequeira, Accountant

Aldrin Wilson Sequeira

Accountant

Al Shalal Pure Drinking Water LLC

Location
United Arab Emirates - Dubai
Education
Bachelor's degree, Accounting
Experience
14 years, 8 Months

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Work Experience

Total years of experience :14 years, 8 Months

Accountant at Al Shalal Pure Drinking Water LLC
  • United Arab Emirates - Dubai
  • My current job since October 2018

 Maintaining the books of accounts, recording daily basis sales, purchase, Petty cash expenses, cash & bank entries in tally ERP9.
 Examining bank statements and reconciling them with general ledger entries.
 Keeping an eye on incoming payments from accounts receivable and outgoing payments from accounts payable.
 Prepares payments by verifying documentation and requesting disbursements.
 Reconciles financial discrepancies by collecting and analyzing account information.
 Analyzing data to understand where the company is generating and losing revenue.
 Prepares special financial reports by collecting, analyzing, and summarizing account information and trends.
 Summarizes current financial status by collecting information and preparing trail balance, profit and loss statement, balance sheet & other reports.
 Maintains customer confidence and protects operations by keeping financial information confidential.
 Actively involved in overall financial & accounting functions of the company inclusive of maintenance of books of accounts, preparation of various financial statements & reports, cost analysis.
 Supervision & Dispatch of billing. Preparing Cash flow & Bank Reconciliation.
 Ensure general ledger accuracy by reviewing and posting journal entries.
 Participate in year-end audit process along with other reporting and disclosure
 Recommends financial actions by analyzing accounting options.
 Petty cash Management & preparing expense report as per the company’s requirement.

Accountant at Roxul Technology LLC
  • United Arab Emirates - Dubai
  • August 2016 to August 2018

• Post and process journal entries to ensure all business transactions are recorded.

• Preparing invoice to customer based on a purchase order from customers.

• Review & verify supplier invoices. Track Expenses, process Expense Report & Set invoice up for payment.
• VAT returns report preparation & documentation of supporting bills for auditing.
• Ensuring Month End Closing is done on time & all the transactions are accounted in the system.
• Preparing trial balance, profit & loss a/c & balance sheet on a monthly basis.
• Preparing ageing wise debtor’s statement & follow up payment.
• Provides financial information to management by researching and analyzing accounting data; preparing reports.
• Prepares asset, liability, and capital account entries by compiling and analyzing account information.
• Documents financial transactions by entering account information.
• Maintains accounting controls by preparing and recommending policies and procedures.
• Handling overall accounting & preparing various reports as per company requirement.

Receivable Accountant at Alazzam Group Of Restaurants
  • Bahrain - Manama
  • August 2013 to June 2016

• Using tally erp9 software and entering information ensuring that all financial records are complete and accurate.

• Cross verifying all given sales reports, discount bills, loyalty bills & discount coupons from all the outlets are matching with the system if any discrepancy informing to the financial controller as well as a restaurant manager.

• Credit card reconciliation through bank statement if any discrepancy for excess swiping from customers or swiping amount not showing in statement issues resolving through bank & excess amount taken from customers reimbursing.

• Daily posting of cash receipts in the accounts receivable module & preparing a cash flow statement.
• Inventory control, random checking & preparing of variance report, if any negative stock informing to the financial manager.

• Preparing MIS report as per Company requirement & collecting information.
• Coordinate assigned accounting activities with other departments, divisions and external parties.
• Reconciles financial discrepancies by collecting and analyzing account information.
• Month-end stock auditing & providing month-end closing stock to the senior accountant.

Assistant Accountant at Asoka Garden Society
  • India - Mumbai
  • June 2009 to July 2013

• Assist in logging and maintaining an accurate record of financial transactions for the monthly book of accounts.

• Dealing with supplier accounts, enquiries and all correspondence

• Working with Procurement Manager where discrepancies identified in relation to pricing and follow up through to resolution
• Assist Financial Accounts team with proposals for accruals and prepayments

• Responsible for Employee expenses ensuring in line with company policy.
• Working with Journals, Sales & Purchase ledgers and Spreadsheets.
• Managing petty cash transactions.
• Inventory management, Accounts receivable & Accounts payable systematic filing.
• Voucher /cheque preparation.
• Ensure timely collection follow-ups and email reminders.

Education

Bachelor's degree, Accounting
  • at Mangalore University
  • May 2009

- Bachelor Degree: • Completed B.Com from Mangalore University.

High school or equivalent,

• S.S.L.C from Karnataka Board

Specialties & Skills

BALANCE SHEET
BANK RECONCILIATION
BOOK KEEPING
BUDGETING
ACCOUNTING
ACCOUNTANT

Languages

Hindi
Beginner
English
Beginner
Kannada
Beginner