Jacksin Mechado, Accountant

Jacksin Mechado

Accountant

AL YAFI STYLE GENERAL TRADING LLC, DUBAI-UAE

Location
United Arab Emirates
Education
Master's degree, HUMAN RESOURCE AND FINANCE
Experience
6 years, 10 Months

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Work Experience

Total years of experience :6 years, 10 Months

Accountant at AL YAFI STYLE GENERAL TRADING LLC, DUBAI-UAE
  • United Arab Emirates - Sharjah
  • March 2020 to July 2023

✓ Day to day financial operations with regard to financial Accounting include Accounts Receivable, General Ledger, Accounts payable, Project Costing, Inventory, Cash Flow projections and Revenue Accounting.
✓ Preparing monthly detailed management reports.
✓ Perform cash flow forecasting, budgeting and working closely with the operations teams.

✓ Prepares and records asset, liability, revenue, and expenses entries by compiling and analysing account information.
✓ Allocation of fixed assets depreciation on the monthly reports for the actual use of fixed asset.
✓ Liaising with the Owners and management for any variance in Budgeted and actual expenses incurred.
✓ Documenting and monitoring internal controls in support of auditing team.
✓ Manage effectively supplier’s payments and sign all journal entries and payment vouchers to ensure proper coding and documentation to the company policies and procedures.
✓ Prepare the weekly and monthly reports to management team.
✓ Review all petty cash reimbursements for proper documentation and to ensure adherence to petty cash policies and procedures.
✓ Handing payroll process & yearly benefit reimbursement of employees.
✓ Supervision of daily banking activities and ensure compliance with group guidelines.
✓ Preparing Bank reconciliations for bank accounts and cash position report on monthly basis.
✓ Preparation of Annual Financial Statements in accordance with IFRSs.
✓ Prepare accounts in both manual and computerized accounting. ✓ Value Added Tax (VAT) calculation.
✓ Preparation of Credit Note, Debit Note, stock, post-dated cheque (PDC) etc.

ACCOUNTANNT at QATAR MEDICAL CENTER (GULF FALCON TRADING) DOHA-QATAR
  • Qatar - Doha
  • February 2019 to January 2020

✓ Day to day financial operations with regard to financial Accounting include Accounts Receivable, General Ledger, Accounts payable, Project Costing, Inventory, Cash Flow projections and Revenue Accounting.
✓ Preparing monthly detailed management reports.
✓ Perform cash flow forecasting, budgeting and working closely with the operations teams.
✓ Prepares and records asset, liability, revenue, and expenses entries by compiling and analysing account information.
✓ Allocation of fixed assets depreciation on the monthly reports for the actual use of fixed asset.
✓ Liaising with the Owners and management for any variance in Budgeted and actual expenses incurred.
✓ Documenting and monitoring internal controls in support of auditing team.
✓ Manage effectively supplier’s payments and sign all journal entries and payment vouchers to ensure proper coding and documentation to the company policies and procedures.
✓ Prepare the weekly and monthly reports to management team.
✓ Review all petty cash reimbursements for proper documentation and to ensure adherence to petty cash policies and procedures.
✓ Handing payroll process & yearly benefit reimbursement of employees.
✓ Supervision of daily banking activities and ensure compliance with group guidelines.
✓ Preparing Bank reconciliations for bank accounts and cash position report on monthly basis.
✓ Preparation of Annual Financial Statements in accordance with IFRSs.
✓ Prepare accounts in both manual and computerized accounting.
✓ Value Added Tax (VAT) calculation.
✓ Preparation of Credit Note, Debit Note, stock, post-dated cheque (PDC) etc.

Accountant at TOP SECRET ADVERTISING AND MEDIA
  • Qatar - Doha
  • February 2017 to October 2018

Day to day financial operations with regard to
financial Accounting include Accounts
Receivable, General Ledger, Accounts payable,
Project Costing, Inventory, Cash Flow
projections and Revenue Accounting.
✓ Preparing monthly detailed management
reports.
✓ Perform cash flow forecasting, budgeting and
working closely with the operations teams.
✓ Prepares and records asset, liability, revenue,
and expenses entries by compiling and
analysing account information.
✓ Allocation of fixed assets depreciation on the
monthly reports for the actual use of fixed
asset.
✓ Liaising with the Owners and management for
any variance in Budgeted and actual expenses
incurred.
✓ Documenting and monitoring internal controls
in support of auditing team.
✓ Manage effectively supplier’s payments and
sign all journal entries and payment vouchers to ensure proper coding and documentation to the company policies and procedures.
✓ Prepare the weekly and monthly reports to management team.
✓ Review all petty cash reimbursements for proper documentation and to ensure adherence to petty cash policies and procedures.
✓ Handing payroll process & yearly benefit reimbursement of employees.
✓ Supervision of daily banking activities and ensure compliance with group guidelines. ✓ Preparing Bank reconciliations for bank accounts and cash position report on monthly basis. ✓ Preparation of Annual Financial Statements in accordance with IFRSs. ✓ Prepare accounts in both manual and computerized accounting. ✓ Value Added Tax (VAT) calculation. ✓ Preparation of Credit Note, Debit Note, stock, post-dated cheque (PDC) etc.

Accountant at JACOB & JACOB FINANCIAL SERVICE PVT LTD
  • India - Kerala
  • May 2016 to December 2016

Education

Master's degree, HUMAN RESOURCE AND FINANCE
  • at Alagappa University
  • September 2017

Master's degree, Commerce
  • at Bharathiar University
  • September 2016

Bachelor's degree, Commerce
  • at MS University
  • September 2013

Specialties & Skills

Petty Cash
Microsoft Excel
Inventory
Tally ERP
ACCOUNTANCY
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLE
AUDITING
BUDGETING
CASH FLOW
FINANCIAL
FINANCIAL ACCOUNTING
FIXED ASSETS
FORECASTING

Languages

English
Expert