Rosmy Rose Joseph, Senior Accountant

Rosmy Rose Joseph

Senior Accountant

Shekeeb Gulf FZE

Location
United Arab Emirates - Dubai
Education
Master's degree, MBA(Finance& Marketing)
Experience
18 years, 0 Months

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Work Experience

Total years of experience :18 years, 0 Months

Senior Accountant at Shekeeb Gulf FZE
  • United Arab Emirates - Dubai
  • My current job since April 2016

Preparation of Trial Balance, P&L Account and Balance Sheet.
Preparing books of accounts, submitting debtors and Creditor’s age-wise
list for collection and payments.
 Checking and approving of Petty Cash.
Preparing Bank Reconciliation & Handling Cheque Payments / Receipts
Monitoring and posting the purchasing invoices, sales invoices.
 Monitoring and accounting Customer Invoices
 Managing bills received from vendors
 Transferring payments for Noqodi & Oqood.
 Preparing and monitoring monthly wise analysis of Telephone, Water and Electricity usage and reporting to General Manager.
 Performing on a monthly basis reconciliation of all supplier’s accounts and collecting Balance Confirmation
 Payroll Calculation
 Liasing with the bank for the facilities, Preparation of Online transfers, documents.
 Assisting Auditor for Finalization.

Accounting Manager at Cuttingedge Petroleum Equipments Trading LLC
  • United Arab Emirates - Dubai
  • July 2013 to July 2015

 Managing the accounts department. Timely & accurately capture of data into the accounting system Tally ERP 9.
 Vouching of cash book, purchase, sales and passing adjusted journal entries.
 Preparation of documents for LC, Trust Receipt, Documents under collection, Bank Guarantees.
 Daily cash handling.
 Payroll processing for permanent and casual staff. Payroll processing through Wages Protection System (WPS).
 Monitoring commercial invoices, credit invoice, Sales Invoice, Delivery Note
 Updating and preparation of Receivables and Payables statements and follow up for the payments
 Monthly reconciliation of Bank statement.
 Generating relevant MIS.Preparing periodic financial statements including profit & loss account, cash flows.
 Formulating Budgets and business plan on the financial implications .
 Forecasting on financial matters and advising on ways of improving business performance

Accountant at Xenith LLC
  • United Arab Emirates - Dubai
  • April 2011 to May 2013

 Closely monitoring, verifying and posting all the accounts and stocks on daily basis in Microsoft Dynamics GP system (ERP)and Peachtree
 Managing the accounts and logistics departments as a cohesive whole.
 Timely & accurately capture of data into the accounting system
 Vouching of cash book, purchase, sales and passing adjusted journal entries.
 Daily cash handling.
 Payroll processing for permanent and casual staff. Payroll processing through Wages Protection System (WPS).
 Preparation of Tenders, quotations and placing Purchase orders
 Preparation of Bank Guarantees, cheques and all other banking transactions
 Monitoring commercial invoices, credit invoice, Sales Invoice, Delivery Note, LSO, LPO and checking backorders and their follow up.
 Updating and preparation of Receivables and Payables statements and follow up for the payments.
 Monthly reconciliation of Bank statement, stock
 Generating relevant MIS, Inventory Analysis and Discrepancies

Accountant at Amulya Projects
  • India - Bengaluru
  • August 2009 to December 2010

 Timely & accurately capture of data into the accounting system
 Vouching of cash book, purchase, sales and passing adjusted journal entries.
 Daily cash handling.
 Payroll processing for permanent and casual staff
 Preparation of cheques and all other banking transactions
 Monthly reconciliation of Bank statement

Process Executive at Infosys BPO Ltd
  • India - Bengaluru
  • January 2006 to July 2009

 Being the operational Analyst with the client, which is a UK based Investment banking (UBS: Union Bank of Switzerland), primary role is Intersystem reconciliations (reconciling securities on a T+1 daily basis) prior to Depot/Nostro reconciliation.
 Sending work distribution to the team, to the client at the beginning of the day, which states who is responsible for each market.
 Conducting weekly audit of the breaks.Follow up with traders by telephone, emails, chats to make the break clear
 Providing Weekly reports to the Client on the performance of the Team which also contains SLAs and reverse SLAs for the week

Assistant Accountant at Sree Sankaracharya Institute of Computer Education
  • India
  • May 2005 to January 2006

 Timely & accurately capture of data into the accounting system
 Vouching of cash book, purchase, sales and passing adjusted journal entries.

Preparing Sales Invoice, Delivery Note

Education

Master's degree, MBA(Finance& Marketing)
  • at Kannur University
  • August 2004
Bachelor's degree, BCOM
  • at Calicut University
  • May 2002

Specialties & Skills

Microsoft Office
ORION ERP
Microsoft Dynamics
Peachtree
Peachtree
Microsoft Dynamics GP(ERP Software)
Tally ERP 9
Quick Book
Sage pastel Evolution

Languages

English
Expert
Hindi
Beginner
Malayalam
Expert

Training and Certifications

IELTS (Certificate)
Date Attended:
December 2008
Valid Until:
January 9999