Mishelyn Lappay, Administrator and General Accountant

Mishelyn Lappay

Administrator and General Accountant

Mohd Al Refai General Trading Co. LLC.

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, Finance
Expérience
17 years, 11 Mois

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Expériences professionnelles

Total des années d'expérience :17 years, 11 Mois

Administrator and General Accountant à Mohd Al Refai General Trading Co. LLC.
  • Émirats Arabes Unis - Dubaï
  • juillet 2012 à février 2019

• Reconciliation of supplier accounts on a monthly basis to match payments made against invoice recorded
• Preparation of sales invoices
• Manage and monitor customer accounts due and late payments and issue statements of accounts on monthly basis
• Records bank entries and reconciliation
• Handling utility and other bills swiftly
• Recording of petty cash transactions
• Preparation for quotations
• Data entry for accounting transactions (prepayments, depreciation, bank facilities)
• Maintain accounting records
• Managed the processing of all financing contracts and other related importing documents.
• Communicated with suppliers and shipping agents regarding imported shipments.
• Actively managed import and export transactions to ensure excellence in item delivery.
• Facilitated banking facilities, including Letters of Credit (Sight/Usance).
• Managed client communications by answering phones and corresponding through email.

Administrator and Junior Accountant à Wye Marketing Corporation
  • Philippines - Caloocan City
  • avril 2001 à juin 2012

• Coordinated with suppliers regarding imported items, shipping logistics, and payment terms.
• Ensured timely arrival of products.
• Collaborated with company executives to oversee import procedures.
• Handled client calls and addressed customer concerns.
• Managed customer files and records.
• Prepared memos and letters.
• Communicated with customers and followed up on queries.
• Managed and supervised all aspects of cash flow.
• Directed and monitored daily cash transactions.
• Maintain vendor files.
• Prepare and process payments.
• Review and verify invoices and cheque requests.
• Set invoices as to payments.
• Track expenses and process expense reports.
• Monitor Accounts to ensure payments are up to date
• Maintain customer files and records.
• Maintain up to date customer statements of accounts.
• Generate and send out Invoices
• Follow up on collections
• Prepare bank deposits
• Monitor customer account payments or delayed payments
• Perform account reconciliations
• Communicate with customers via phone and emails

Éducation

Baccalauréat, Finance
  • à Central Philippine University
  • mars 2024

Specialties & Skills

Logistics
Bank Reconciliations
Import Export
Administrative Duties
MANAGEMENT
TREASURY
TREASURY MANAGEMENT
MICROSOFT EXCEL
ACCOUNTING SYSTEMS
Accounting records, recivables &payables , landed cost, importation, admin
RECONCILIATION
COLLECTIONS
ACCOUNTING

Langues

Filipino
Expert
Anglais
Expert

Loisirs

  • Road and Mountain Biking
    I have the opportunity to visit different places like Oman for Redbull Enduro, Hattah, Showkah Mountain in Ras Al Khaimah, Wadi Tayyibah in Fujairah etc.