NEJMY P A, Accountant

NEJMY P A

Accountant

Berner Of Kuwait W.L.L

Location
Kuwait - Al Farawaniyah
Education
Master's degree, M com
Experience
18 years, 0 Months

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Work Experience

Total years of experience :18 years, 0 Months

Accountant at Berner Of Kuwait W.L.L
  • Kuwait
  • My current job since December 2020


Reconcile Accounts receivable and payables with general Ledger.

Preparing Money Receipt Vouchers.

Follow up with the creditors and receivables.

Follow up, arrange on collection of payment and verify receipts.

Reconciles General ledger, subsidiary accounts.

Maintain and Reconcile the company bank accounts.

Maintain Fixed Asset and their related depreciations.

Participation in Preparation of Cash flow statements, Income and Expenditure accounts.

Participation of Preparing the entire payroll calculations for the company.

Responsible for all accounting functions and preparing related reports.

Participation in Preparation of the annual report, audit and other special projects.

Assist with audit schedules and Trial balance.

Performs internal and external audits.

Assist the Accounts Manager with Budget.

ACCOUNTANT at Enhanced Engineering & Multi-technology Company
  • Kuwait - Al Kuwait
  • October 2017 to December 2020

• Booking Supplier Invoices, checking POs and other supplier documents.
• Preparing Various Accounts payable reports, AP balance, AP aging, Inventory aging etc.
• Preparing supplier payments both foreign and local through B2B online system.
• Maintains good relation with suppliers through email and telephone conversation.
• Assist to chief accountant to prepare reports required by management.
• Monthly reconciliation related to payables with all suppliers.
• Work with Finance Manager to ensure a clean and timely report.
• Assist to auditors for Accounts payable related reports.

Accountant at SAUDI ARCHIRODON /CONDRECO LTD
  • Saudi Arabia - Jeddah
  • May 2015 to June 2016

1. Monthly BRS for all banks.
2. Accounting of Daily collection and payments in GENAS Accounting Software.
3. Weekly GL Scrutiny and corrective actions including clearing unadjusted
Debits/advances.
4. Creditor's ledger scrutiny and reconciliations.
5. Inter site reconciliation and Related party transactions.
6. Updation and Maintaining of Archirodon Procurement and Inventory System.
7. Participation in preparation of Balance Sheet, Manufacturing, Trading and Profit and Loss A/c, Trial Balance, Income and Expenditure account, Receipts and Payments Accounts, Cash Book, Ledger Accounts, Vouchers, Bank Loan Application Forms, Bank Audit Reports, Income Tax Returns, Annual Returns, Project Reports etc. using MS Word and MS Excel.
8. Any other job as assigned from time to time ensure no default/ no delay status Consistently.

ACCOUNTANT at AS SALAMA HOSPITAL CO.
  • Saudi Arabia - Dammam
  • May 2014 to August 2014


Performs All Accounts related duties as required by the Finance Manager.

Monthly BRS for all banks.

Accounting of Daily collection and payments in PACT Accounting Software.

Creditor's ledger scrutiny and reconciliations.

Senior Accountant at Nagapl Builders
  • India - Kerala
  • March 2009 to May 2014


Monthly BRS for all banks.

Weekly GL Scrutiny and corrective actions including clearing unadjusted
Debits/advances.

Creditor's ledger scrutiny and reconciliations.

Inter site reconciliation and Related party transactions.

Monthly TDS payments & Quarterly TDS filing and issuing Form 16.

VAT filing & Procedures

Debtors ledger Analysis and reporting, issuing debit notes & credit notes

Scrutiny of other debit/credits in bank statements, daily Tally entries

Participation in Statutory and Internal Audits relating to the above areas

Preparation of pay roll

Participation in preparation of Balance Sheet, Manufacturing, Trading and Profit and Loss A/c, Trial Balance, Income and Expenditure account, Receipts and Payments Accounts, using MS Word and MS Excel.

Accounts Assistant at Pen Books Pvt Ltd
  • India - Kerala
  • December 2006 to January 2009

1. Accounting of Sales & purchase
2. VAT filing & Procedures
3. Verification of Bills & Vouchers
4. Monthly BRS for all banks
5. Petty cash & vouchers maintenance
6. Overall control of cheques clearance

Audit Assistant at Eappan Philip & Co. (Chartered Accountants)
  • India - Kerala
  • June 2004 to November 2006

1. Indoor & Outdoor Auditing of Books of accounts
2. Statutory Branch Audits of Various Banks.

Education

Master's degree, M com
  • at M G University
  • January 2008
Bachelor's degree, B com
  • at M G University
  • May 2004

Specialties & Skills

Auditing
Data Analysis
Corporate Finance
Financial Accounting
Accounting
MS Word, Excel, Access, Power Point & Tally Financial Accounting Program ( TFAP )
MICROSOFT DYNAMICS AX 2012

Languages

English
Expert
Hindi
Intermediate
Arabic
Intermediate

Hobbies

  • Watching movies, News reading, Learning from Internet