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Anto George, General Accountant

Anto George

General Accountant·Ethics Plus Public Accountants

United Arab Emirates

Master's degree, Financial Management

Work experience

Total years of experience: 17 years, 1 months

General Accountant

January 2018 - Present

Ethics Plus Public Accountants

Dubai, United Arab Emirates

January 2018 - Present

Notable Contributions across Assignments

• Authorizing and accounting of transactions that are in the normal course of business Implementation of accounting and internal control systems for SME clients.
• Vat Accounting
• Preparation of Monthly MIS of Companies Performance, Sales Graph Analysis, Gross and Net Profitability and reporting the results/ suggestions to top level management
• Preparation of monthly/ quarterly MIS and Reconciliation of banks/ branches/ physical stock/ cash / intra-group transactions
• Preparation of Monthly cash flow projections and Ratios
• Liaising with clients and providing financial information and advice to management by assembling and summarizing data; preparing reports; making presentations of findings, analyses, and recommendations.
• Preparation of Financial Statements & liaising with Internal & Statutory auditors of the company
• Follow up of receivables (Clients Monthly payments)
• Performing financial audits for clients and preparing the financial statements as per the International Financial Reporting Standards
• Client tale includes, trading & service sectors.

Company industry:
Accounting
Job role:
Accounting and Auditing

Property Management Accountant

January 2016 - December 2017

Better Homes LLC

Dubai, United Arab Emirates

January 2016 - December 2017

Notable Contributions across Assignments

• Accounting up to Finalization - (Softwares - Oracle, Yardi)
• Preparation of Management Fees- Monthly
• Preparing of Monthly MIS Reports-Landlords Statements, shared Income reports
• Preparing of Monthly Reconciliation Reports (Bank, Tenants, Creditors)
• Preparing of Owners Statement and reporting the same with owners.
• Daily Auditing of Receipt vouchers generated in yardi and reporting the same to portfolio managers.
• Reviews A/R entries on a daily basis, solving any discrepancies as necessary in a timely manner
• Reviews A/P entries such as utilities, Maintenance, recurring and regular invoices
• Processes Security Deposit Check Requests within scheduled deadline - Oracle
• Prepares (Bank, Tenants, Creditors) reconciliations
• Prepares monthly & quarterly property reports within scheduled deadlines
• Reviews weekly property account balances in order to manage cash flow effectively
• Forecasts cash flow and cash management in a timely basis
• Works closely with Property Managers and Portfolio Managers to help reconcile land lords/tenants accounts/ledgers
• Participates in preparing and auditing materials requiring analyses of supporting documents and insures that all entries are entered into the system properly
• Analyzes monthly & quarterly financial statements
• Liaise With Banks

Company industry:
Real Estate
Job role:
Accounting and Auditing

General Accountant

May 2013 - May 2015

Nalapad Group

Dubai, United Arab Emirates

May 2013 - May 2015

Notable Contributions across Assignments

• Accounting up to finalization - Tally 9
• Handling of Petty cash, prepare the vouchers & posting the same after the approvals from
Management
• Voucher entry (employees and Vendors)
• Preparation of Monthly Stock reports
• Stock audit on monthly / quarterly basis.
• Maintaining the bank balance and prepare the daily bank position and update the monthly
budgeted and actual cash flows.
• Meeting with other accountants of subsidiaries for further reconciliation of accounts
• Prepares Statement of Accounts to Subsidiaries & reconciliations of due from/due to
subsidiaries and Holding Company.
• Follow up of Receivables payments according to company credit period
• Issue of cash/cheques (with supporting vouchers) to Suppliers with prior approval from the superior
• Making of Creditors payments according to time
• Preparation of Monthly Debtors, Creditors Reconciliation
• Preparing Monthly Bank Reconciliation Reports
• Preparation of Cash flow and Fund flow Reports
• Preparation of Trading account, profit and loss account and balance sheet

Company industry:
Sales Outsourcing
Job role:
Accounting and Auditing

Audit Assistant

December 2011 - December 2012

Abraham & Jose Audit Firm (Chartered Accountants)

Kerala, India

December 2011 - December 2012

Notable Contributions across Assignments

• Prepare briefing notes for regularity and systems audits
• Report to management about asset utilization and audit results, and recommend changes in operations and financial activities.
• Prepare detailed reports on audit findings.
• Review data about material assets, net worth, liabilities, capital stock, surplus, income, and expenditures.
• Inspect account books and accounting systems for efficiency, use of accepted accounting procedures to record transactions.
• Examine and evaluate financial and information systems.
Preparing Profit and Loss Account, Income and Expenditure Account and Balance Sheet

Company industry:
Accounting
Job role:
Accounting and Auditing

Accountant

May 2008 - October 2011

Luciya Palace

Kerala, India

May 2008 - October 2011

Notable Contributions across Assignments:

• Preparation of Daily Accounting Transactions
• Petty cash handling
• Bank Reconciliation Statement
• e-filing of VAT & Service Tax returns
• Finalization of accounts-Assisting the Senior Accountant in preparing the Income statement and Balance Sheet.

Company industry:
Catering, Food Service, & Restaurant
Job role:
Accounting and Auditing

Education

Bharthiar University

December 2012

December 2012

Master's degree, Financial Management

India

GPA (percentage): 62%

GPA (percentage): 62%

Bachelor of commerce

March 2008

March 2008

Bachelor's degree, Commerce

India

GPA (percentage): 74%

GPA (percentage): 74%

Skills

Accounting
Expert
Accounting
Expert
Customer Service
Expert
Customer Service
Expert
Internal Audit
Expert
Internal Audit
Expert
Quickbooks
Expert
Quickbooks
Expert
MS EXCEL
Expert
MS EXCEL
Expert
Tally ERP 9
Expert
Tally ERP 9
Expert
Peachtree,Focus reach
Expert
Peachtree,Focus reach
Expert
Accounting
Expert
Accounting
Expert
Customer Service
Expert
Customer Service
Expert
Internal Audit
Expert
Internal Audit
Expert

Languages

English

Expert

Hindi

Expert

Malayalam

Expert

Tamil

Intermediate

Training and Certifications

Certifications
Sap Business one 8.8
Aug 2015

Hobbies and interests

reading