Deepthy Prakasan Menothuparambil, Accountant

Deepthy Prakasan Menothuparambil

Accountant

Euro Emirates Electro Mechanical Services LLC

Location
United Arab Emirates - Dubai
Education
Master's degree, Accounting
Experience
8 years, 2 Months

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Work Experience

Total years of experience :8 years, 2 Months

Accountant at Euro Emirates Electro Mechanical Services LLC
  • United Arab Emirates - Dubai
  • October 2020 to July 2021

Entering all Supplier invoices in Xero accounting software.
Preparing sales invoices.
Entering receipts from Customers.
Supplier payments-online transfers, cheque payments, cash
withdrawal.
Petty cash.
Monthly ledger reconciliations, stock consumption entries.
VAT verification

Accountant-Accounts payable at Acciona Agua- Besix JV, Jebel Ali
  • United Arab Emirates - Dubai
  • March 2020 to July 2020

Handling accounts payable:
Updating the invoices of subcontractors on daily basis.
Checking the payment certificates of Subcontractors.
Suppliers & Subcontractors payments.
Petty cash.
Subcontractors ledger reconciliation.
Updating the records of guarantees and security cheques received.
Communicating to suppliers and subcontractors.

Accountant at Pedrollo Gulf FZE ,DAFZA , Dubai
  • United Arab Emirates
  • November 2018 to July 2019

Entering transactions in Quick Books software.
Preparing Proforma invoices, LPO, invoicing, instructing warehouses
to release the material, payment follow up.
Updating the daily bank status to the management, correspondence
with the banks, processing payments, salary transfer
Updating cost sheet for stock, maintaining stock reports, monitoring
the movement of stock in warehouses, physical stock verification.
Keeping track of upcoming containers from H.O, checking shipping
documents.
Handling petty cash, attending customer queries.
Preparing cash flow report and ageing report.
Assisting Auditors

Accountant at Al Faisaliya Contracting Co. LLC
  • United Arab Emirates - Dubai
  • December 2013 to December 2016

G+4
Labour camp, Jebel Ali (3 typicalbuilding)
Entering transactions of two Companies in ERP Accounting
software-EZware.
Handling petty cash, Bank reconciliation, monthly closing
entries.Making payments to suppliers and sub-contractors.
Preparing reports like cash flow, outstanding and aging analysis.
Follow up customers for payments and tracking PDCs.Suppliers and
customer accounts reconciliation.Check and solve issues regarding
invoice discrepancies. Doing correspondence through email & phone
calls.
Communication with Bank regarding facilities like cheque
discounting, invoice discounting, suppliers and customers.

Accountant at Badotherm Middle East FZCO,Jebel Ali
  • United Arab Emirates - Dubai
  • July 2010 to July 2012

Handling all accounts of both Companies (Badotherm Middle East and Global Engineering Solutions FZCo.) One is a Manufacturing & another is Trading co.
Entering transactions in Tally.
Submitting reports to Management like Debtor & Creditors List. Preparation of Fund flow statement on weekly basis
Dealing Petty Cash, maintaining Purchase and Sales register Preparing Bank Reconciliation and MIS-Cash flow statement Handling Accounts Receivables as well as payables.
PreparingCheques and Doing Salary preparation Documentation for sending material to customers. Depositing of Cheques& cash with Bank
Helping Auditing for making final accounts, Data entry in Excel. Doing Billing and dispatching the originals to Clients and posting all details in Tally Accounting Package.
Periodical presentation of statement of accounts of Debtors, Creditors to General Manager.

Guest Lecturer at Sree Krishna College
  • India - Kerala
  • July 2006 to August 2006

Teaching B.com & M.Com Students.
Dealing with subjects : MIS, IT, Business Management, Business
Law, Commerce.

AssistantManager at Manappuram Finance-Insurance division
  • India
  • August 2005 to May 2006

Joined as Junior officer at Back office in General Insurance Dept.(Cholamandalam Insurance)
Preparing Bank Reconciliation Statement
Cash /cheque collection directly from customers as well as agents. Daily cash deposits and cheque deposits to bank.
Preparing daily, weekly& monthly reports of business . Preparing policy documents.
After 6 months promoted to Asst. Managerof life Insurance Dept(BirlaSunlife Insurance)
Entering data in Excel.Entering transactions in accounting package. Checking the target achievement of agents.
Salary and T.A calculation of employees
Calculation of commission to agents, commission from Birla Sun Life InsuranceMaking Invoices.MaintaininRegisters for sales, purchase, cash.etc.

Education

Master's degree, Accounting
  • at Calicut University
  • July 2004

3rd Rank

Bachelor's degree, Accounting
  • at University Of Calicut
  • March 2002

First Class

Specialties & Skills

Payroll
Finance
Teaching
ACCOUNTING SOFTWARE
CASH FLOW
ACCOUNTANCY
ACCOUNTS RECEIVABLE
AUDITING
BANK RECONCILIATION
BILLING
CLOSING

Languages

English
Expert
Hindi
Expert

Hobbies

  • Gardening