Mary Rose Balba, Accountant

Mary Rose Balba

Accountant

Alpha Projects & Logistics

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, Accounting Management
Expérience
8 years, 6 Mois

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Expériences professionnelles

Total des années d'expérience :8 years, 6 Mois

Accountant à Alpha Projects & Logistics
  • Émirats Arabes Unis - Dubaï
  • septembre 2019 à décembre 2020

Receive, monitor and validate Purchase invoices in accordance with quotation and ask approval from management for payment.
• Disputes invoices not according to agreed quotation.
• Closely coordinating with Sales and operation staffs for unclear issues of purchase invoices received.
• Daily monitoring of job files and ensuring that there are no empty job files.
• Adding Debtor and Creditor and input Purchase invoices in Extra Logistics Software.
• Journal Entry posting of Purchase invoices, Sales invoices, prepayments, amortization & accrual in E-
conomic accounting software.
• Monthly closing of jobs, ensuring that all purchase invoices and sales invoices are received and issued.
• Assisting in Monthly closing (Reconciliation of Bank, Credit Cards, Inter-company, Extra vs E-conomic
reconciliation for AP & AR.
• SOA reconciliation between creditors & AP aging, sending email confirmation for paid invoices and
payments received.
• Prepare forecast and aging for Accounts Payable.
• Collate all invoices to be paid for weekly payment run.
• Follow up collection from Debtors in various countries for timely payments.
• Prepare and submit weekly collection report and AR aging report to Finance Head.
• Research, call and send company presentation for potential clients (Dubai, Europe & Southern Africa).

General Accountant à Al Kamda Investment
  • Émirats Arabes Unis
  • juillet 2017 à juillet 2019

AL KAMDA INVESTMENT
Office# M01, Mezzanine Floor, Zabeel Business Center, Al Karama, Dubai, UNITED ARAB EMIRATES Tel #: +971 4-336 5665
July 10, 2017 to July 31, 2019
GENERAL ACCOUNTANT
• Accurate processing of accounts payable, record and validate vendor invoices and process payments on time, solve issue concerning vendors in compliance with the company policy.
• Verify & record credit card transactions, bank transactions up to bank reconciliation.
• Responsible for Invoicing and payment follow up’s to customer/tenants in a timely manner, ensure all
accounts receivables are updated and closely monitored for proper cash flow monitoring.
• Maintaining expiry lease for leasing contracts, attend to tenant’s inquiries and handles non-renewal,
pre-termination & termination process.
• Liaise with banks & prepare cheque discounting request.
• Maintaining PDC list and ensuring deposits on maturity date.
• Monitor, reload and renew various property subscriptions & accounts (e.g DCD 24x7 subscriptions,
Noqodi, DSO E-wallet, E-Dirham)
• Calculate, summarize, record and reimburse various farm bills.
• Ensure intercompany entries for various company within the group are properly entered and tallied
(e.g Dubai Space & Smark Real Estate).
• Countercheck, verify, monitor & record employee salaries, leave salaries, bonuses, loans & advances.
Apply & activate employee Rateb card / payroll card. Maintain general ledger with regards to payroll
transactions.
• Responsible for renewal of leases under Dubai Real Estate Corporation (DREC) e.g main lease,
sublease & sub-sublease.
• Assist with preparation and coordination of the audit process.
• Assist with implementing and maintaining internal financial controls and procedures.
• Responsible for day-to-day transactions & maintain records in Tally ERP 9.
• Preparation, validation and submission of quarterly VAT report to Senior Accountant.
• Handle, record, liquidate & replenish petty cash - maintenance.
• Liaise with PRO for legal cases against tenant’s in accordance to RERA process (notary, newspaper,
RERA case application, execution up to blocking).
• Responsible for construction transaction of the company (e.g.Labour Camp & Villa Constructions)

Accountant à Luxury Plus Rent A Car DMCC
  • Émirats Arabes Unis - Dubaï
  • juillet 2015 à juin 2017

LUXURY PLUS RENT A CAR DMCC
6F Gold Tower (AU Tower) Cluster I, Jumeirah Lakes Towers, Dubai, UNITED ARAB EMIRATES Tel #: +971 4-3639545
July 11, 2015 to June 10, 2017
ACCOUNTANT
• In-charge for the preparation and issuance of Invoices to customer.
• Regular follow up with customer for payment and details, allocation of the Collection
• Prepare and monitor daily cash position
• Processing transaction for Accounts Payable, from recording the invoices up to payment and
reconciliation
• Stand as Petty Cash Custodian who Check and verify staff expense, act as a contact point for staff
related expenses.
• Verify all expenses are in accordance with the company expense guidelines
• Prepare Reconciliation of SOA, Schedules and Bank Accounts,
• Monitoring the daily transactions from Bank and record.
• Check attendance accuracy and process payroll on time, ensuring accurate records of payroll
activities and process expenses relating to working practices.
• Closely monitor the schedule of Company loans, Prepare Loan Amortization Schedule to avoid
penalties;
• Manage DMCC online application and payments such as new visa, cancellation, salary certificates,
establishment card, etc.
• In -charge of renewal of company license and insurances, preparation of prepayments and
depreciation & preparation of company’s financial statements P&L and Balance Sheet.
• Backtracking of company’s previous transactions for back logs transactions.

General Accountant à Seven Star Limousine
  • Émirats Arabes Unis - Dubaï
  • juillet 2013 à juillet 2015

SEVEN STAR LIMOUSINE LLC
Office# 2008 20th floor Conrad Dubai, Sheikh Zayed Road, Dubai, UNITED ARAB EMIRATES Tel #: +971 4-3326414 / +971 4-4447088
July 7, 2013 up to July 9, 2015
GENERAL ACCOUNTANT
• Preparation of payroll using WPS system.
• General ledger maintenance such as purchase and sales ledger data entry. Updating and entering
journals for sales revenue and other transactions.
• Reconciliation of sales ledger accounts. General ledger entry including accruals and prepayments.
• Preparation of billing invoices for clients, follow-up outstanding customer accounts & application of
collection.
• Preparation of sales, purchases ledger, cash books and payroll.
• Monthly management accounts preparation.
• Preparation and input of month end journal vouchers.
• Fixed Asset accounting, reconciliations and depreciation journals.
• Daily inputting of sales invoices to the limo system (company’s own system).
• Daily consolidation of all trips for each hotel, reconciling petty cash.
• Preparing sales invoices & the upkeep of an accurate accounts filing system.
• Analyze different general ledger accounts regularly & collate bank statements on monthly basis.
• Preparing and analyzing of Journal entries from data entry up to finalization
• Reconcile and maintain balance sheet accounts & prepare all company’s financial statements such as
Profit and loss and Balance sheet and required schedules as basis

Finance Assistant à DHL Exel Suppy Chain
  • Philippines
  • avril 2012 à avril 2013

DHL SUPPLY CHAIN PHILS., INC.
KM 17 West Service Road, South Super High Way, Parañaque City, PHILIPPINES Tel #: +632-8584600
April 2, 2012 to April 15, 2013
FINANCE ASSISTANT - GENERAL ACCOUNTS (FINANCE CORPORATE) April 2, 2012 - August 21, 2012
• Prepare Month End Entries in Oracle, application of all the collection from customer to every invoice &
prepare Aging of all the Accounts Receivables recorded in Oracle.
• Check and prepare entries for manual transactions in Oracle.
• Verify documents for creating supplier Account in Oracle, ensuring all accreditation done before the process, Liaising closely with Procurement for the accreditation status
• Generate all the entries from Oracle for Accounts PnL Analysis, prepare Balance Sheet Reports such as Accruals, Advances and others.
FINANCE ASSISTANT - MUW ACCOUNTS (FINANCE OPERATIONS) August 22, 2012 - April 15, 2013
• Record all invoices sent to the customer for collection, prepare invoice to be submit to customer, liaising closely to operation team for the accurate revenue billing; submit the cost schedule to supplier
for their billing.
• Responsible for the consolidation of Huawei invoices in HTM (Huawei Transport Management
System)
• Validate and Prepare all Invoices relate to A/P for Payment, responsible for the preparation of
Balance Sheet schedule (analysis of prior year to current year and preparation of adjusting journal
entries)
• Oversee the revenue schedule of other MUW accounts ensuring accuracy and on time billing, prepare
Accruals for the expenses in a monthly basis during month end.
• Perform the 3 ways matching of A/P in Oracle and processing Purchase request and Orders.

Éducation

Baccalauréat, Accounting Management
  • à University of Batangas
  • avril 2012

Bachelor of Science in Commerce Major: Accounting Management University of Batangas Batangas City April 19, 2012 ON-THE-JOB-TRAINING DLManalo Bookkeeping and General Services P. Zamora St. Batangas City

Specialties & Skills

Tally ERP
Journal Entries
Bookkeeping
Microsoft Excel
Oracle General Ledger
AUDITING
BOOKKEEPING
BUDGETING
JOURNAL
MS EXCEL
MS POWERPOINT
MS PUBLISHER
MS WORD
PHOTOSHOP
payroll
Tally ERP 9
Oracle Financials
Peachtree
E-conomic Accounting Software
teamwork
reconciliation
accounting
payments

Profils Sociaux

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Langues

Anglais
Expert
Tagalog
Expert
Espagnol
Débutant

Adhésions

Junior Philippine Association of Management Accountants (JPAMA)
  • Member
Association of Future Finance Executives (AFFE)
  • Member
Junior Philippine Institute of Accountants (JPIA)
  • Member

Formation et Diplômes

Certified Bookkeeper - Bookkeeping NC III (Certificat)
Date de la formation:
March 2011
Valide jusqu'à:
March 2011