Nikku جوزيف, Accountant Receivable

Nikku جوزيف

Accountant Receivable

Al Bahar Electronics (Retail)

البلد
الكويت - الأحمدى
التعليم
ماجستير, Finance and HR
الخبرات
11 years, 1 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :11 years, 1 أشهر

Accountant Receivable في Al Bahar Electronics (Retail)
  • الكويت - الكويت
  • يناير 2023 إلى ديسمبر 2023

MOHAMED ABDULRAHMAN AL-BAHAR (Electronics & Retail)
Accountant - Receivables (Jan’23 - till date)
I. Key responsibilities - RECEIVABLES  Daily follow-up with Customers.  Visiting New Credit Customers for verification.  Assess credit risk and establish credit limit.  Analyze and review before order release for each customer and send for management approval as
per company Authority Matrix.  Apply accounting techniques and standard practices to the classification and recording of financial
transactions.  Calculate and proper follow-up on retail industries like Lulu, Grand Etc. as per BDA agreement.  Reconciliation of customers’ accounts based on sales and payment.  Prepare month-end closing reports.  Ageing analysis and assessment of the creditworthiness of potential customers.  Assess credit risk and establish credit limit.  Prepare & submit monthly Customer Statements along with due letters.  Review and verify invoice clearance before submission for all sales team commissions

Financial Credit Controller في Kuwait Insulating Material Manufacturing Company - Other Locations
  • الكويت
  • يناير 2018 إلى أكتوبر 2021

• Full charge processing of all account receivables, credit management, and payables.
• Prepare financial statements according to the monthly close schedule.
• Facilitate and complete monthly close procedures.
• Prepares Cash Collections and other collection/bank-related reports on a daily basis.
• Resolve accounting discrepancies and irregularities.
• Chasing Customers for collection and achieved more than 100% from my target collection.
• Maintains accurate tax - basis records & supporting documentation on financial reporting.
• Contributed to team success by completing jobs quickly and accurately.
• Ageing analysis and assessment of the creditworthiness of potential customers.
• Evaluation / Asses Credit Risk and analyze limits on credit customers.
• Manage credit limit records in SAP based on management approvals.
• Maintains proper documentation on customer credit files.
• Furnished requested financial data and reports to auditors.
• Negotiation with customers on re-payment on their overdue.
• Business trips to the middle east as per management requests to meet with clients or customers.
• Handled budgeting and forecasting while my colleague travels on business trips or vacations.
• Successfully achieved monthly collection target.

Accountant Receivable and Payables في Al Ashrafiya International Foodstuff Company
  • الكويت
  • أكتوبر 2011 إلى يناير 2018

Key responsibilities - RECEIVABLES
• Monitor Accounts Receivables report on a regular interval to identify collections.
• Reconciliation of customers’ accounts based on sales and payment.
• Ensure the posting of sub-ledger imports to the general ledger and perform month-end activities.
• Analyzes reports determining sales/margin/profit with recommendations where appropriate.
• Reviewing sales invoices and supervising 5 invoicing teams.
• Apply accounting techniques and standard practices to the classification and recording of financial transactions.
• Lead my finance teams to success on auditing purposes.
• Prepare monthly audits with regard to cheques and cash records.
• Handling of Petty Cash.
• Helped implement SAP as we changed over from Unisoft, I was an integral member of the SAP implementation team focusing on accounting and sales.
• Performed stock analysis.

Key responsibilities - PAYABLES.
• Passing journal entries and assigning entries to proper accounts.
• Intercompany Branche’s Reconciliation & entries to be recorded.
• Ensure accurate and appropriate recording and analysis of establishment expenses.
• Checking/reviewing journal vouchers for correctness and proper approval.
• Monitoring petty cash and cash transactions.
• Dealing with a different mode of payments to the supplier (Advance, LC, CAD, etc.).
• Coordinating with branches and performing inter-branch monthly reconciliation.
• Responsible for monthly and year-end closing.
• Responsible for Issuing balance confirmation to suppliers.
• Data entry of payroll details as provided by HR.
• Worked closely with teammates to coordinate tasks and support safety.

الخلفية التعليمية

ماجستير, Finance and HR
  • في Mahatma Gandhi University (kottayam)
  • سبتمبر 2014

Specialties & Skills

Dynamics
MS Office tools
Microsoft Excel
mba finance
month end
accounts receivable
Ms Excel, xero, SAP, Ms Dynamics

اللغات

الانجليزية
متمرّس