Submitting more applications increases your chances of landing a job.

Here’s how busy the average job seeker was last month:

Opportunities viewed

Applications submitted

Keep exploring and applying to maximize your chances!

Looking for employers with a proven track record of hiring women?

Click here to explore opportunities now!
We Value Your Feedback

You are invited to participate in a survey designed to help researchers understand how best to match workers to the types of jobs they are searching for

Would You Be Likely to Participate?

If selected, we will contact you via email with further instructions and details about your participation.

You will receive a $7 payout for answering the survey.


User unblocked successfully
Thank you. Your report has been submitted and will be reviewed shortly.
Ashik Ali, Accountant

Ashik Ali

Accountant·Emirates Hospitality Center llc

United Arab Emirates

Master's degree, Finance and Accounting

Work experience

Total years of experience: 13 years, 9 months

Accountant

March 2023 - April 2026

Emirates Hospitality Center llc

Abu Dhabi, United Arab Emirates

March 2023 - April 2026

• Managed full-cycle AP & AR operations, ensuring accurate invoice processing, supplier reconciliation, revenue recognition, and timely payments/collections.
• Conducted supplier & customer reconciliations, resolving disputes, ensuring accurate expense recognition, and maintaining a stable cash flow.
• Processed AP Aging Reports & payment schedules, ensuring timely vendor payments, preventing penalties, and maintaining strong supplier relationships.
• Process Prepayment, month-end accruals, improving financial accuracy and reporting efficiency.
• Performing bank, cash, and general ledger reconciliations.
• Maintaining and updating general ledger accounts accurately Recording daily financial transactions and journal entries.
• Prepared & filed VAT returns, reconciling input/output taxes, managing tax payments, and ensuring regulatory compliance.
• Supporting audit and month-end/year-end closing processes
• Working with software ERP EDGE.

Company industry:
Hospitality & Accomodation
Job role:
Hospitality and Tourism

Accountant

August 2022 - March 2023

Maxrock Spectrum llc. Member of Ali & Sons Holding llc.

Abu Dhabi, United Arab Emirates

August 2022 - March 2023

• Maintain Proper books of accounts which include all financial transactions day to day verifying, allocating and posting transactions by preparing journal Entries weekly perform checking and updating, ensure legal requirements compliance.

• Preparing VAT data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• Accounts Receivable Management : :Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and
AR reconciliation accounting.

• Accounts Payable Management (AP):Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

• Perform month-end account closing activities and reconciliations, ensure data accuracy and data recovery.

• Coordinating with the auditors in getting the internal audit completed in a timely, authentic and satisfactory manner.

• Working with software SAP Business One.

Company industry:
Construction & Building
Job role:
Construction and Building

Accountant

September 2020 - July 2022

Fire Plus & Fire Protection System LLC

Abu Dhabi, United Arab Emirates

September 2020 - July 2022

• Preparing VAT data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• Accounts Receivable Management : :Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and AR reconciliation accounting.



• Accounts Payable Management (AP):Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.



• PAYROLL MANAGEMENT:Coordination with HR department for monthly salary processing for office staff for Loss of pay & Unpaid leaves and record in accounts books.

• Proving and validation of monthly GL entries & Monthly prepare prepaid Expenses and Provision for Expense.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

• Perform month-end account closing activities and reconciliations, ensure data accuracy and data recovery.

• Coordinating with the auditors in getting the internal audit completed in a timely, authentic and satisfactory manner.



• Monthly and quarterly preparation of profit & loss account and balance sheet (MIS).

• Stock Inventory Management.

• Working with software ERP EDGE.

Company industry:
Safety & Environment
Job role:
Safety

Accountant

November 2018 - February 2020

VIKASH KOACHER & ASSOCIATES CHARTERED ACCOUNTANT

New Delhi, India

November 2018 - February 2020

• Maintain Proper books of accounts which include all financial transactions day to day verifying, allocating and posting transactions by preparing journal Entries weekly perform checking and updating, ensure legal requirements compliance.

• Preparing GST data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• Preparing TDS data and reconciliation, TDS calculation, Prepare TDS payments and necessary details for filing the return.


• Accounts Receivable Management : :Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and AR reconciliation accounting.



• Accounts Payable Management (AP):Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.



• PAYROLL MANAGEMENT:Coordination with HR department for monthly salary processing for office staff for Loss of pay & Unpaid leaves and record in accounts books.

• Proving and validation of monthly GL entries & Monthly prepare prepaid Expenses and Provision for Expense.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

• Perform month-end account closing activities and reconciliations, ensure data accuracy and data recovery.

• Coordinating with the auditors in getting the internal audit completed in a timely, authentic and satisfactory manner.



• Monthly and quarterly preparation of profit & loss account and balance sheet (MIS).

Company industry:
Accounting
Job role:
Accounting and Auditing

Accountant

May 2016 - October 2018

Sangal & Associate Chartered Accountant

New Delhi, India

May 2016 - October 2018

• Maintain Proper books of accounts which include all financial transactions day to day verifying, allocating and posting transactions by preparing journal Entries weekly perform checking and updating, ensure legal requirements compliance.

• Preparing GST data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• Preparing TDS data and reconciliation, TDS calculation, Prepare TDS payments and necessary details for filing the return.

• Preparing VAT data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• Accounts Receivable Management : :Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and AR reconciliation accounting.

• Accounts Payable Management (AP):Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.

• PAYROLL MANAGEMENT:Coordination with HR department for monthly salary processing for office staff for Loss of pay & Unpaid leaves and record in accounts books.

• Proving and validation of monthly GL entries & Monthly prepare prepaid Expenses and Provision for Expense.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

• Perform month-end account closing activities and reconciliations, ensure data accuracy and data recovery.

• Coordinating with the auditors in getting the internal audit completed in a timely, authentic and satisfactory manner.

• Monthly and quarterly preparation of profit & loss account and balance sheet (MIS).

Company industry:
Accounting
Job role:
Accounting and Auditing

Accountant

October 2015 - April 2016

N.K. PROSALES PVT. LTD.

Gurgaon, India

October 2015 - April 2016

• Maintain Proper books of accounts which include all financial transactions day to day verifying, allocating and posting transactions by preparing journal Entries weekly perform checking and updating, ensure legal requirements compliance.

• Preparing VAT data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• ACCOUNTS RECEIVABLES (AR) MANAGEMENT: Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and AR reconciliation accounting.

• ACCOUNTS PAYABLE MANAGEMENT: Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.

• Proving and validation of monthly GL entries & Monthly prepare prepaid Expenses and Provision for Expense.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

• Monthly and quarterly preparation of profit & loss account and balance sheet (MIS).

• Paying employees by verifying expense reports and preparing pay cheques.

• Manage employee reimbursement as per company policy & payments on time.

Company industry:
Retail & Wholesale
Job role:
Construction and Building

Assistant Accountant

October 2011 - May 2015

JYOTI ERECTORS PVT. LTD. Duration: OCT 2011 to May 2015

Allahabad, India

October 2011 - May 2015

• Maintain Proper books of accounts which include all financial transactions day to day verifying, allocating and posting transactions by preparing journal Entries weekly perform checking and updating, ensure legal requirements compliance.

• Preparing VAT data scrutinizing purchase inputs and Sale output preparing Input tax credit, prepare tax payments and necessary details for filing the return.

• ACCOUNTS RECEIVABLES (AR) MANAGEMENT: Handling complete cycle of AR management (all entities) including invoice preparation Invoice submission, debt collection receipt monitor, follow up due receivables by sending bill reminders and contacting customers and AR reconciliation accounting.

• ACCOUNTS PAYABLE MANAGEMENT: Maintain complete cycle of AP management including payroll, collecting and validation of bills, record and report data entry of vendor invoices, Po & Non Po Invoices on daily basis.

• Proving and validation of monthly GL entries & Monthly prepare prepaid Expenses and Provision for Expense.

• Maintain Petty Cash, Bank, Credit Card Reconciliation and update Fixed Assets Register.

Company industry:
Construction & Building
Job role:
Construction and Building

Education

Swami Vivekanand Subharti University

December 2018

December 2018

Master's degree, Finance and Accounting

India

Chatrpatisahu ji maharaj University

June 2011

June 2011

Bachelor's degree, Computer & Finance

India

GPA (percentage): 63%

GPA (percentage): 63%

Complete all assignment on time.

Nav jyoti inter college

June 2004

June 2004

High school or equivalent, Applied Mathematics

India

GPA (percentage): 55%

GPA (percentage): 55%

Complete all assignment on time.

Mr Sherwani inter College

June 2001

June 2001

High school or equivalent, Applied Mathematics

India

GPA (percentage): 52%

GPA (percentage): 52%

Complete all assignment on time.

Skills

Payroll Accounting

Expert

Payroll

Expert

Accounts Payable

Expert

Account Reconciliation

Expert

Bookkeeping

Expert

Account reconciliation

Expert

Account Payable

Expert

Bookkeeping

Expert

Cash Handling

Expert

Revenue Reconciliation

Expert

Month Book Closing

Expert

Account Receivable

Expert

Payroll Accounting

Expert

Internet Banking

Expert

VAT Retun

Intermediate

Financial Reporting

Expert

Ledger General Management

Expert

Month End Closing

Expert

Bank Reconciliation

Expert

SAPB1

Intermediate

STRONG WORK ETHIC

Intermediate

TALLY ERP

Intermediate

VAT RETURNS

Intermediate

Prepayments

Intermediate

Financial Accounting

Intermediate

ACCOUNTING

Intermediate

ACCOUNTS PAYABLE

Intermediate

ACCOUNTS RECEIVABLE

Intermediate

COMPLIANCE REPORTING

Intermediate

FINANCIAL STATEMENTS

Intermediate

OPERATIONS

Intermediate

PAYROLL ADMINISTRATION

Intermediate

ADAPTABILITY

Intermediate

DETAIL ORIENTED

Intermediate

SAP B1

Intermediate

SAP ERP

Intermediate

Languages

English

Expert

Hindi

Expert

Urdu

Expert

Arabic

Beginner

Training and Certifications

Certifications
Driving
2710207
2710207

Hobbies and interests

Chess
Cricket

Good Team Player