Total Years of Experience: 1 Years, 6 Months
May 2014
To May 2014
Accountant
at Scientific General Trading LLC
Location :
United Arab Emirates
Preparing Profit and Loss account & Balance Sheet
Monthly closing of accounts
Profit/Loss (P&L) Analysis.
Accounts payable
Accounts receivable
Bank Reconciliation
Payroll Management
Petty Cash Management
Monthly closing of accounts
Profit/Loss (P&L) Analysis.
Accounts payable
Accounts receivable
Bank Reconciliation
Payroll Management
Petty Cash Management
August 2012
To March 2012
Accounts
at Routeroys Pvt Ltd- Keral
Preparing Profit and Loss account & Balance Sheet
Preparing outstanding list of Debtors & making payment follow-up.
Reconciliation of Bank statement at the end of month.
Preparation of sales report on a daily and monthly basis.
Preparation of journal entries.
Preparing outstanding list of Debtors & making payment follow-up.
Reconciliation of Bank statement at the end of month.
Preparation of sales report on a daily and monthly basis.
Preparation of journal entries.
May 2011
To June 2011
at JP Morgan Chase Bank
Location :
United Arab Emirates
Review of fraudulent checks which get deposited in bank for clearance.
Extensive access to cheques to evaluate the document for authenticity, genuineness and fraudulent activities.
Specialized in Error free and Quality Evaluation of cheques.
Raise flags and alerts in case of fraudulent cheques to the New York OLP Team
Extensive access to cheques to evaluate the document for authenticity, genuineness and fraudulent activities.
Specialized in Error free and Quality Evaluation of cheques.
Raise flags and alerts in case of fraudulent cheques to the New York OLP Team
May 2008
To July 2009
Assistant Accounts Officer
at Kalliyath Sanitary Centre- Keral
Preparation of Invoises
Preparation of journal entries.
Assisting senior accountant in preparing monthly finance statements.
Preparation of cheques.
Stock audit.
Petty cash management
Preparation of journal entries.
Assisting senior accountant in preparing monthly finance statements.
Preparation of cheques.
Stock audit.
Petty cash management
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