Submitting more applications increases your chances of landing a job.

Here’s how busy the average job seeker was last month:

Opportunities viewed

Applications submitted

Keep exploring and applying to maximize your chances!

Looking for employers with a proven track record of hiring women?

Click here to explore opportunities now!
We Value Your Feedback

You are invited to participate in a survey designed to help researchers understand how best to match workers to the types of jobs they are searching for

Would You Be Likely to Participate?

If selected, we will contact you via email with further instructions and details about your participation.

You will receive a $7 payout for answering the survey.


User unblocked successfully
Thank you. Your report has been submitted and will be reviewed shortly.
Sunil Nambiar, Sr.Accountant

Sunil Nambiar

Sr.Accountant·First Shipping Agency WLL,

Qatar

Bachelor's degree, Accounting

Work experience

Total years of experience: 34 years, 2 months

Sr.Accountant

November 2018 - July 2025

First Shipping Agency WLL,

Doha, Qatar

November 2018 - July 2025

ACCOUNTS PAYABLE AND RECEIVABLE
Provides financial, administrative and clerical support by ensuring payments are completed & expenses
are controlled by receiving payments, processing, verifying & reconciling invoices according to established
policies & procedures in an efficient timely & accurate manner.
Duties
Assist in the preparation of financial statements and reports
Perform general ledger entries and reconciliation
Process accounts payable and receivable transactions
Assist with monthly, quarterly and year end closing procedures
Maintain accurate and up-to-date financial records
Prepare bank deposit, reconcile bank statements & correct any discrepancies
Support audits and help ensure compliance with applicable standards
Provide administrative support to the accounting department as needed
Handling of Petty cash in line with the approved policy and procedures within the scope of responsibilities
Cash reconciliation and tally in books
Timely follow-up of IOU to ensure settlement within one week by 1 st quarter
Weekly report of PDC sent in 1 st quarter
Reimbursement of petty cash fortnight by 1 st quarter
Timely recording of inward remittance in one working day
Finalize 100% of monthly closing submission within the dead line
Perform any relevant additional duties and responsibilities as directed by superior

Company industry:
Shipping

Sr. Accountant

November 2018 - July 2025

First Shipping Agency WLL

Doha, Qatar

November 2018 - July 2025

Company industry:
Shipping

ACCOUNTS PAYABLE

August 2006 - August 2018

A joint venture between Al Darwish United Co. & Interserve PLC -UK

Doha, Qatar

August 2006 - August 2018

Responsible for supporting the accounting operations of the business by processing merchandise invoices, making payments and resolving queries.

Duties

•Processing invoices from various vendor for payment.
•Managing Data Entry of Accounting Voucher in Tally ERP, COINS
•Processing a high volume invoices.
•Handling all telephone inquiries relating to accounts payable issues.
•Corresponding with vendors and respond to inquiries.
•Documenting all accounts payable transactions.
•Compiling management reports and assisting with audits.
•Completing balance sheet reconciliations.
•Processing daily cash receipts. Handling Petty Cash
•Routing of invoices for appropriate approvals.
•Contacting banks regarding any financial queries.

•Collecting all invoices and obtaining approval for payment.
•Responsible for matching invoices with Purchase Order & receivers.
Matching, batching and coding invoices.
•Processing payment to vendors, processing and entering customer invoices.
Completing accounts payable.
•Creating historical records by scanning documents.
•Maintaining vendor files .Raising and tracking invoices.
•Checking the filing of invoices.
•Checking the accuracy of figures and calculations.
•Expense report auditing.
•Recording all cash activity on a daily basis.
•Chasing up outstanding customer accounts.
•Providing support documentation for audits.
•Matching cheques to corresponding invoices.
•Providing Accounts Manager with assistance when required.

Additional Responsibilities

•Monthly closing of Accounts for Financial Report Handling.
•Preparation of MIS for Financial Reporting.
•Support the closing of Annual Closing with External Auditors.
•Responsible for effective cash flow Management.
•Handling Internal Audits
•Auditing balance Sheet items on quarterly basis.
•Monitoring daily Debtors collection.
•Verifying Bank & Credit Card Statement Reconciliation.
•Review all LPO’s/PR, Payment Vouchers, company credit cards usage &other operational documents of finance Department.
•Auditing Accounting system of branch office & conducting inter department Audit for Finance procedures.
•Responsible for all month end closing activities including Purchase Ledger maintenance, reconciliation & corporate overhead.
•Reviewing Accounting policy on yearly basis & forwarding the suggestion to Manager Finance.
•Review Bank facility.
•Assisting in payroll preparation & distribution.
•Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
•Produces payroll by initiating computer processing; printing checks, verifying finished product. Completes external audit by analyzing and scheduling general ledger accounts; providing information for auditors.
•Avoids legal challenges by complying with legal requirements.
•Secures financial information by completing database backups.
•Protects organizations value by keeping information confidential.
•Updates job knowledge by participating in educational opportunities; reading professional publications; maintaining personal networks; participating in professional organizations

Company industry:
Construction & Building
Job role:
Accounting and Auditing

Sr.Accountant

August 2006 - August 2018

How United Services WLL,

Doha, Qatar

August 2006 - August 2018

ACCOUNTS PAYABLE
Provides financial, administrative and clerical support by ensuring payments are completed & expenses
are controlled by receiving payments, processing, verifying & reconciling invoices according to established
policies & procedures in an efficient timely & accurate manner.
Duties
 Maintain a high-level of communication and customer service within the organization and with external
vendors handled around 2000 plus & Purchase invoices handled annually upto Qrs : 60 million.
 Processing invoices from various vendor for payment.
 Managing Data Entry of Accounting Voucher in Tally ERP, COINS
 Processing a high volume invoices.
 Handling all telephone inquiries relating to accounts payable issues.
 Corresponding with vendors and respond to inquiries.
 Documenting all accounts payable transactions.
 Compiling management reports and assisting with audits.
 Completing balance sheet reconciliations.
 Processing daily cash receipts. Handling Petty Cash
 Routing of invoices for appropriate approvals.
 Contacting banks regarding any financial queries.
 Collecting all invoices and obtaining approval for payment.
 Responsible for matching invoices with Purchase Order & receivers.
 Matching, batching and coding invoices.
 Processing payment to vendors, processing and entering customer invoices.
 Completing accounts payable.
 Creating historical records by scanning documents.
 Maintaining vendor files .Raising and tracking invoices.
 Checking the filing of invoices.
 Checking the accuracy of figures and calculations.
 Expense report auditing.
 Recording all cash activity on a daily basis.
 Chasing up outstanding customer accounts.
 Providing support documentation for audits.
 Matching cheques to corresponding invoices.
 Providing Accounts Manager with assistance when required.
 Maintain accounting ledgers by verifying & posting accounts transaction.
 Protect organisations value by keeping information confidential.
 Update job knowledge by participating in educational opportunities.
 Maintain a high level of communication & customer service within the organisation & with external
vendors.
 Negotiate with vendors & service providers.
Additional Responsibilities
 Monthly closing of Accounts for Financial Report Handling.
 Preparation of MIS for Financial Reporting.
 Support the closing of Annual Closing with External Auditors.
 Responsible for effective cash flow Management.
 Handling Internal Audits
 Auditing balance Sheet items on quarterly basis.
 Monitoring daily Debtors collection.
 Verifying Bank & Credit Card Statement Reconciliation.
 Review all LPOs/PR, Payment Vouchers, company credit cards usage &other operational documents of
finance Department.
 Auditing Accounting system of branch office & conducting inter department Audit for Finance
procedures.
 Responsible for all month end closing activities including Purchase Ledger maintenance, reconciliation
& corporate overhead.
 Reviewing Accounting policy on yearly basis & forwarding the suggestion to Manager Finance.
 Review Bank facility.
 Assisting in payroll preparation & distribution.
 Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions;
resolving discrepancies.
 Produces payroll by initiating computer processing; printing checks, verifying finished product.
Completes external audit by analyzing and scheduling general ledger accounts; providing information
for auditors.
 Avoids legal challenges by complying with legal requirements.
 Secures financial information by completing database backups.
 Protects organizations value by keeping information confidential.
 Updates job knowledge by participating in educational opportunities; reading professional
publications; maintaining personal networks; participating in professional organizations

Company industry:
Construction & Building

Accountant

February 2001 - July 2006

PurpleImage Technologies Pvt. Ltd

Mumbai, India

February 2001 - July 2006

Key Deliverables:
•Responsible for preparing Cash & Bank vouchers, JVs, Credit Notes.
•Managing Data Entry of Accounting Voucher in Tally 5.4.
•Handling Cash payments, withdrawals and maintenance of accounting records.
•Salary processing under the supervision of Accounts Manager.

Company industry:
IT Services
Job role:
Accounting and Auditing

Accountant

February 2001 - June 2006

PurpleImage Technologies Pvt. Ltd.,

Mumbai, India

February 2001 - June 2006

 Responsible for preparing Cash & Bank vouchers, JVs, Credit Notes.
 Managing Data Entry of Accounting Voucher in Tally 5.4.
 Handling Cash payments, withdrawals and maintenance of accounting records.
 Salary processing under the supervision of Accounts Manager.

Company industry:
IT Services

Accountant

September 1999 - January 2001

Plexus Technologies Ltd

Mumbai, India

September 1999 - January 2001

Key Deliverables:
•Preparing Cash & Bank vouchers, JVs, Credit Notes, Data Entry of Accounting Voucher in Tally 5.4.
•Handling Cash payments and withdrawal issues.

Company industry:
General Engineering Consultancy
Job role:
Accounting and Auditing

Accountant

January 1999 - January 2001

Plexus Technologies Ltd.,

Mumbai, India

January 1999 - January 2001

 Preparing Cash & Bank vouchers, JVs, Credit Notes, Data Entry of Accounting Voucher in Tally 5.4.
 Handling Cash payments and withdrawal issues.

Company industry:
IT Services

Asst. Sales

March 1996 - August 1999

MODISON Ltd

Mumbai, India

March 1996 - August 1999

Key Deliverables:
•Responsible for Office Administration.
•Providing sales co-ordination & taking care of follow-ups.

Company industry:
Architecture
Job role:
Sales

Asst. Sales Executive

January 1996 - January 1999

MODISON Ltd.,

Mumbai, India

January 1996 - January 1999

 Responsible for Office Administration.
 Providing sales co-ordination & taking care of follow-ups.

Company industry:
Catering, Food Service, & Restaurant

Account Excecutive

August 1994 - January 1996

Swarupanand Investmen

Mumbai, India

August 1994 - January 1996

Key Deliverables:
•Providing services & assistance to the clients.
•Managing business promotion and production activities.
•Accountable for achieving the goal of average business per day during peak hours and minimum during slack seasons.

Company industry:
Accounting
Job role:
Accounting and Auditing

Account Excecutive

January 1994 - January 1996

Swarupanand Investment,

Mumbai, India

January 1994 - January 1996

 Providing services & assistance to the clients.
 Managing business promotion and production activities.
 Accountable for achieving the goal of average business per day during peak hours and minimum during
slack seasons.

Company industry:
Accounting

Accounts Assistant

January 1992 - June 1994

Samrudhhi Investmen

Mumbai, India

January 1992 - June 1994

Key Deliverables:
•Managing daily operations efficiently.
•Preparing books of accounts.

Company industry:
Financial Auditing
Job role:
Accounting and Auditing

Accounts Assistant

June 1990 - February 1991

M/S. Kajal Synthetics & Silk Mills Ltd

Mumbai, India

June 1990 - February 1991

Key Deliverables:
•Preparing necessary books of accounts.
•Handling Shares Registration.

Company industry:
Catering, Food Service, & Restaurant
Job role:
Accounting and Auditing

Accounts Assistant

June 1990 - February 1991

M/S. Kajal Synthetics & Silk Mills Ltd.,

Mumbai, India

June 1990 - February 1991

 Preparing necessary books of accounts.
 Handling Shares Registration.

Company industry:
Accounting

Education

Swati Management & Financial Services.

January 1992

January 1992

Bachelor's degree, Accounting

India

Mumbai University.

June 1991

June 1991

High school or equivalent, Accounting

India

TYBcom

June 1991

June 1991

Bachelor's degree, Accounting

India

Skills

ACCOUNT MANAGEMENT

Intermediate

FINANCE

Intermediate

WORD PROCESSING

Intermediate

PAYROLL ADMINISTRATION

Intermediate

PROCEDURE DEVELOPMENT

Intermediate

COMPLEX PROBLEM SOLVING

Intermediate

ACCOUNTING

Intermediate

DATA ANALYSIS

Intermediate

MANAGEMENT

Expert

MIS

Expert

PEAK

Expert

ACCOUNTANCY

Expert

CREDIT

Expert

CUSTOMER RELATIONS

Expert

DATABASE ADMINISTRATION

Expert

LOTUS NOTES

Expert

Languages

English

Expert

Hindi

Expert

Malayalam

Native Speaker

Marathi

Expert

Training and Certifications

Certifications
Driving Licence
Certificate course in Investment Management