Kumudika Amarakoon, accountant

Kumudika Amarakoon

accountant

QKS Technical Services LLC

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

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Work Experience

Total years of experience :9 years, 2 Months

accountant at QKS Technical Services LLC
  • United Arab Emirates - Dubai
  • July 2017 to January 2020

Involvement • Responsible for completion of accounting transactions up to financial statements,
inclusive of preparation on month end close activities.
• Reconciliation of all financial transactions associated with bank statements,
subsidiary ledger & general ledger.
• Handling Letter of Credits and Discounting.
• Prepare, process & administer company payroll & annual worker compensations.
• Monitor & update Fixed Assets Register for capital expenditure & prepare monthly
depreciation schedules.
• AOP and Actual financial analysis and provide the MIS reports to the management.
• Cost management and directly involving with procurement and operations for
approvals to maintain the profit margin.
• Negotiating terms of business deals with vendors, suppliers and clients
• Year-end financial process & coordinating with internal & external audits.
• Preparation of reporting & analysis of financial results related to business & financial
objectives such as consolidated cash monitoring and weekly plans for forecasting
purposes to maintain the agreed AOP bank balances.
KUMUDIKA MADHUMALI AMARAKOON
Bachelor of Business Administration (Accounting & Finance)

General Accountant at Emirates Refreshments P. J. S. C. – Ras Al Khor
  • United Arab Emirates - Dubai
  • August 2013 to May 2017
Accountant at Dubai Coating Ltd
  • United Arab Emirates - Dubai
  • November 2010 to July 2013

Prepare payments in accordance with vendor payment terms & conditions.
• Reconcile suppliers' statement of account & follow up on discrepancies,
• Prepare accrual journals for all purchase orders & services availed without invoices.
• Implement & follow up appropriate control measures to avoid duplication of invoices
for payment.
Reconciliation
• Prepare monthly reconciliation statements for bank accounts, cash receipts,
disbursements & security deposits.
• Process bank reconciliation & cash activity reports to the general ledger accounts.
Other accounting activities
• Assist with month-end financial closing.
• Deliver entries related to fully depreciated & disposed fixed assets.
• Handling Letter of Credits.

Education

Master's degree, Finance
  • at Alderson University, SIBM
  • September 2018

at

Bachelor's degree, Administration and Business Administration
  • at Symbois
  • September 2014

in

Specialties & Skills

Project Plans
Computer Skills
Cash Flow Forecasting
Reporting Skills
Financial Accounting
ACCOUNTANCY
FINANCIAL
FIXED ASSETS
GENERAL LEDGER
BUSINESS ADMINISTRATION
CLOSING
CUSTOMER RELATIONS
FINANCE
FINANCIAL ANALYSIS
FINANCIAL STATEMENTS

Languages

English
Expert
Hindi
Expert

Hobbies

  • Playing musical instruments