Accountant
Green Gulf Trading & Agriculture
Total years of experience :14 years, 4 Months
Full charge processing of all accounts receivable and Accounts payable
Keep all Accounts of the Company
Prepare Bank reconciliation statement, Cash / Cheque payment voucher and Bank
Manage all petty cash and office supply expense accounts Record general ledger entries Prepare Purchase Order Cash flow statement and aging Report
Prepaid Insurance, Prepaid rent, Yearly Depreciation report and Monthly overhead
Monthly trading profit and loss Account and Yearly Balance sheet
Worked as Assistant Auditor with Shanbag Auditor & Consultant Co.
Worked as Accountant with ATCO Company (Al Asail Trading & Cont Co.) Doha, Qatar. From December 2009 to April 2015.
Entry into computerized accounting package using Peachtree.
Full charge processing of all accounts receivable and payable.
Keep all Accounts of the Company.
Prepare Bank reconciliation statement, cash payment voucher and Bank
Payment Voucher using Peachtree.
Invoice and Payments.
Payroll and Employees Reimbursement.
Deal with Bank for routine transactions.
Co-operate with Chartered Accountant at the time of Auditing.
Prepare Day Book, Ledger, P&L Accounts and Balance sheet.
Prepare Purchase Order and Cash flow statement.
Handle all Customers by tracking payment status.
Manage all Petty Cash and Office supply expenses accounts.
Office administration.
B.Com income tax and practice, Accountancy, Business Studies, Financial accounts (University of Darwad Karnataka, India) with 60% of marks 2008.
SSLC (Board of Public Examinations, Karnataka, India)