Suhail  Bhat, Finance Accountant

Suhail Bhat

Finance Accountant

Abdul Jalil Mehdi Mohd Al Asmawi Group of Companies

Lieu
Émirats Arabes Unis
Éducation
Master, Accounts & Finance
Expérience
10 years, 4 Mois

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Expériences professionnelles

Total des années d'expérience :10 years, 4 Mois

Finance Accountant à Abdul Jalil Mehdi Mohd Al Asmawi Group of Companies
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis novembre 2019

Execution of Receivables & Payables management, consolidation of balances to trial balance before accounts finalization, Accounts balancing & compilation of balances from Trial Balance to P&L Account & Balance sheet to ensure accurate year end close. Disposition of Bank Reconciliations statements & cash reconciliations, MIS Reporting congruence to the management stratagem.

Advance Rental income invoicing, booking security deposits & refunding of security deposits, ejari processing fees & payable management of maintenance dept & DEWA.

Evaluating and ensuring accuracy in various books of accounts, clearing backlogs prior to generating financial statements and reports & Maintaining accuracy in various documents like disbursement vouchers supported by invoices, purchase order, delivery note, quotations, management approval and other documents prior to disbursing payments.

Up-keeping suppliers & customer’s accounts, reviewing purchase, sales invoices & inventory receiving vouchers, payments processing to suppliers & reconciling statements from suppliers & customers for eliminating discrepancies. Reviewing customer & supplier contracts. Aiding in setting the credit limits & credit periods to customers through payment performance indicators

Banking activities like setting up new accounts, adding new signatures, coordinate and resolve various issues with bank such as cleared check differences & obtaining Bank Clearance & Guarantee letters.

Liaise with other accountants for proper maintenance of an integrated accounting system & with CFO for importing credit facilities from financial entities by supplying the corresponding information.

Booking & analyzing VAT Ledgers, creating and reconciling all documents required for periodical VAT filing

Liaison with CFO to ensure & arrange lines of the credit through Mortgage Loans, Vehicle Financing, letters of credit, bills discounting & bank guarantees

Highlights/Achievements

Furnished a consolidated excel work book for PDC & Gurantee cheques of Real Estate dept which created alerts for Matured PDCs, cheques Kept on hold, Expired cheques & cheques released against the cash payment. This ensured smooth flow of cheque deposition & accurate report system to the higher management.

Contrived a prolific integrated system of receivables & payables management for novice HR & PRO Dept including various bank account statements monthly reconciliations for Noqodi, CBD Cash online, E-dirham, CBD Amwal & Pro Staff Advance accounts which ensured the better control & regulation of PRO transactions together with yielding annual profit of AED 1.5 Million.

Costing of Visa & Pro Expenses of company employees for the year 2020 & 2021 which provided an insight into the cost per employee & the extra amount of paid towards fine/urgent work for each employee. Costing of Stationary, Printing & office equipment expenses for the year 2020 & 2021 for identifying the cost centers for management decision making

General Accountant à Merlin Digital General Trading LLC
  • Émirats Arabes Unis - Dubaï
  • août 2017 à août 2019

Execution of Receivables & Payables management, consolidation of balances to trial balance before accounts finalization.

Accounts balancing & compilation of balances from Trial Balance to P&L Account & Balance sheet to ensure accurate year end close. Disposition of Bank & cash Reconciliations, MIS Reporting congruence to the management stratagem.

Monthly Payables & Receivables aging reports & weekly cash flow forecasts for slashing cash flow problems.

Up-keeping suppliers & customer's accounts, reviewing purchase, sales invoices & inventory receiving vouchers, payments processing to suppliers & reconciling statements from suppliers & customers for eliminating discrepancies.

Liaise with other accountants for proper maintenance of an integrated accounting system & with CFO for importing credit facilities from financial entities by supplying the corresponding information.

Booking & analyzing VAT Ledgers, creating and reconciling all documents required for periodical VAT filing.

Highlights/Achievements
Assisted credit controller in account collection by robust customer follow up, increased accounts receivables collection by 30%, recovered 11% of declared uncollectible debts, reduced payment terms in case of some dubitable customers from 90 to 60 days & to cash on delivery basis which prompted the significant cash inflow.

Financial Accountant à Color Mix LLC
  • Émirats Arabes Unis - Dubaï
  • mars 2016 à août 2017

Final Accounts Compilation.

Accounts Receivables Management -
Overseeing of Invoicing, tracking, monitoring and detailed follow-up of Receivables & document incoming payments.

Accounts Payables Management - prompt tracking and accounting of all payable Invoices & prioritizing payments.

Overseeing & processing GRNs, Inventory physical verification, reporting and analyzing variances between Books & Physical stocks.

Facilitate the completion of audit requests from internal and external auditors.

Monthly Payables & Receivables Aging Reports preparation, SOAs, listing open invoices etc.

Liaison with CFO to ensure & arrange lines of the credit through Mortgage Loans, Vehicle Financing, letters of credit, bills discounting & bank guarantees.

Senior Accountant à Royal Khazir Hotels & Resorts
  • Inde - Delhi
  • juin 2013 à septembre 2015

Reconciliation Management
Fund & Cash management
Final Accounts Compilation
External Audit Facilitation
Internal audit
Major customer & vendor accounts management

Éducation

Master, Accounts & Finance
  • à Kashmir University
  • mars 2013
Baccalauréat, Accounts & Finance
  • à University of Kashmir
  • avril 2010
Etudes secondaires ou équivalent, Accounts
  • à JKBOSE
  • février 2006

Specialties & Skills

Inventory Control
Accounts Payable
Accounts Receivable
Account Finalization
Accounts Finalization
Accounting ERPs
Quick Books & Tally 9.0
MIS reports
liaison with banking & External Auditors
GAAP,IFRS & IAS
MS Excel specifically pivot tables & look ups
Management Accounting tools like ratio analysis, cash & fund flow analysis
Inventory control & report Analysis
Reconciliation Management
VAT, GST & Income Tax Returns
Purchase Management
Financial Statements evaluation & Analysis
FOCUS ERP 9.0
CASH REPORTS
RECONCILIATION STATEMENTS

Langues

Anglais
Expert
Urdu
Expert
Arabe
Moyen

Formation et Diplômes

Value Added Tax (U.A.E) (Certificat)
Date de la formation:
May 2022
Financial Management Made Easy for All (Certificat)
Date de la formation:
May 2022