Nilima Pereira, Account Executive, Key Accounts

Nilima Pereira

Account Executive, Key Accounts

Maritronics

Lieu
Émirats Arabes Unis - Sharjah
Éducation
Master, Finance
Expérience
11 years, 11 Mois

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Expériences professionnelles

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

Account Executive, Key Accounts à Maritronics
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis avril 2015

 Managing total receivables, tracking credit periods, timely follow-ups and recovery of all receivables
 Validation of Customer claim & issuing required Credit notes / Debit notes
 Interfacing with sales team to ensure invoicing are done on time and minimum WIP
 Monthly closing of receivables and customer receipt accounting
 Half yearly supplier ledger reconciliation - Payments Vs Inventory receipts
 Preparing monthly report on outstand receivables and reporting to sales team
 Monthly Bank account/Receipt account reconciliation
 Expense booking in system - freight, customs duty, courier charges, etc
 Review & executing all supplier payments basis GRN value, credit memos, credit period ensuring that payments are processed in timely manner
 Issuing Letter of credits to suppliers, documents discrepancy review
 Raising bank payment forms & liaising with banks to ensure smooth payments to suppliers
 Liaising with courier companies for receipts and managing courier accounts
 Responsible for Salary deduction - advance, telephone bills, salik, etc.
 Complete responsibility of petty cash - on time payment in line with business policy & Daily closure of petty cash and reconciliation
 Controlling expenses in line with budgets, maintaining records of expenses (Budgets Vs Actuals) and reporting the deviations to finance head
 Timely collection of Statement of Accounts from suppliers & customers to ensure books are matched
 Supporting routine audits to ensure audit queries are dealt properly
 Customer / vendor creation in system and vendor data management in respect of bank details, bank account numbers and documents compliance
 Supporting VAT filing activities

Finance Executive à St. Xavier College
  • Inde - Mumbai
  • septembre 2012 à mars 2015

• Verify that all accounting related activities follow company standards
• Maintaining, controlling the expenses of the college
• Maintaining day-to-day cash inflows and outflows
• Reporting the daily, weekly and monthly fund statements
• Managing the account budget and invoice with the client and thereby scrutiny of documents, approving payments including foreign remittances.
• Interacting with internal and external auditors in completing the audits
• Carry out taxation process and assisting to finalization
• Presenting accounting issues and results to executive committees and upper management
• Monthly payroll functions for 50+ employees
• Working with bankers for routine workings and reconciliations
• Manage the General Ledger function ensuring the preparation and recording of all necessary accounting entries including those related to the subsidiary ledgers in a timely and accurate manner.
• Accounts Reconciliation
• Liaised various government agencies and solicitors regarding financial transactions
• Handle general office duties and administrative tasks

Project à HPCL
  • Inde
  • mai 2011 à juin 2011

Comparison of cash flow and Economic value added statement of HPCL

The project was to find out the reasons for increase and decrease in Cash flow and Economic value added statement of HPCL.

Éducation

Master, Finance
  • à St. Francis Institute of Management and Research, Mumbai
  • avril 2012
Baccalauréat, Management Studies
  • à St. Andrew’s College
  • avril 2009

Specialties & Skills

Petty Cash
Accounts Payable
Accounts Receivable
Bank Reconciliation
Supplier Audits
ACCOUNTANCY
ADMINISTRATION
AUDITING
BUDGETING
CASH FLOW
CASH MANAGEMENT
CUSTOMER RELATIONS
DEC MMS

Langues

Anglais
Expert
Hindi
Expert