Kimberly Lisanin, Accountant

Kimberly Lisanin

Accountant

Phanes Group

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, Accountancy
Expérience
11 years, 4 Mois

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Expériences professionnelles

Total des années d'expérience :11 years, 4 Mois

Accountant à Phanes Group
  • Émirats Arabes Unis
  • janvier 2018 à décembre 2021

•Maintain accurate accounting records, including journal entries, accounts payable, accounts
receivable, accruals, prepayment, amortization, and depreciation.
• Responsible in monitoring of company’s bank accounts in different currencies, transfers, and
disbursements.
• Deliver support in the preparation and analysis of financial statements for month/year end
reporting and closing activities.
• Involved on assessment of quarterly VAT returns and audit of related invoices.
• Performed month-end account and bank reconciliation to ensure accuracy of company and
bank records.
• Work closely with finance teams to ensure that accounting entries are recorded accurately
and timely in company’s accounting software.

Junior Accountant à Phanes Group
  • Émirats Arabes Unis
  • mai 2017 à décembre 2017

•Process and keep records of accounts payable and accounts receivable in a timely manner and
perform reconciliation with vendors and customers.
• Process and payment of staff related expenses which includes salaries, expense claims and
audit of supporting documents.
• Responsible for monitoring and updating bank mandates, user accounts and new account
set up.
• Management of petty cash and documentation.
• Maintain and record fixed assets and depreciation.
• Controls and ensures proper accounting method, principles and policies are followed upon
accounting entry assignment in Sage 300.
• Maintain and support the Senior Accountant in maintaining Project Development budgets
and invoice allocation for projects in Project Job Costing module.
• Involved in data migration from QuickBooks to ERP (Sage 300).
• Keep documentation of all internal transactions, up to date and organized in a way that
documents can be easily identified and retrieved from the file.

Assistant Accountant à SAT Engineering & Supplies LLC
  • Émirats Arabes Unis
  • janvier 2014 à avril 2017

•Completed accounting tasks such as contributing to financial reports, payroll calculation,
supplier payments and reconciliation, invoicing and accounts receivable reconciliation and entering of financial data in QuickBooks.
• Maintaining proper books of accounts and files.
• Preparation of bank related documents and letter of credit.
• Manage petty cash account.
• Perform other accounting, financial, or administrative tasks as may be required from time to
time from Senior Accountant.

Cash Management Senior Staff à Sumi Philippines Wiring Systems Corporation (SPWS)
  • Philippines
  • janvier 2012 à décembre 2013

•Handling, collection, and disbursement of cash and ensure that sufficient cash is available for
operational needs.
• Document all cash transaction activities.
• Preparation of cash flow statement and bank reconciliation at the end of the month.
• Managing the Petty cash fund of the company and prepare replenishment on regular basis.
• Running short-term loans and communicate this to the bank or financial service providers and
ensure that money moves directionally, and transactions done correctly.

Accounting Clerk à GMM Communication Provider
  • Philippines
  • octobre 2009 à janvier 2011

•Records all the transactions of an individual customers based on the submitted report from
Billing/Sales Department such as sales on account, payments receipts, returns or discount
given, refunds and others evidenced by credit or debit memoranda.
• Responsible in the control and handling of the subsidiary ledger accounts of the customers of
the company.
• Responsible for the receipt and control of all remittances from Direct sales and other cash
collections of the company.

Éducation

Baccalauréat, Accountancy
  • à Bataan Peninsula State University
  • mars 2009

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Specialties & Skills

Data Analysis
Cash Management
Financial Reporting
Intercompany
General Ledger Reconciliation
BANK RECONCILIATION
ACCOUNTANCY
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLE
BILLING
CASH FLOW
DIRECT MARKETING
FINANCIAL

Langues

Anglais
Expert
Tagalog
Langue Maternelle