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ZUHEB WANGDE, Accountant

ZUHEB WANGDE

Accountant·Hayat Communications, Kuwait

Kuwait

Bachelor's degree, Accounting & Auditing

Work experience

Total years of experience: 17 years, 3 months

Accountant

December 2011 - Present

Hayat Communications, Kuwait

Kuwait

December 2011 - Present

Period: Dec 2011 - Till date
Company: Hayat Communications, Kuwait
Designation: Accountant

DUTIES & RESPONSIBILITIES HANDLED
I. With companies:
 Reconciliation of Bank Accounts and Inter Group Company reconciliation.
 Handling Petty Cash, preparation of Bank Payment vouchers and Cheques.
 Preparing Sales Invoices, Purchase and Sales Returns and related Debit and Credit Notes.
 Passing of journal entries relating to Sales (Receivables) and Purchase (Payables) Invoices, preparing monthly Receivable and Payable ageing statement and timely payment to Suppliers etc.
 Provision for expenses such as Rent, Electricity, Salaries and Depreciation on Assets.
 Updating stock on the basis of Goods received note, i.e. Inventory costing, preparing Inventory ageing report & Cost of Sales.
 Preparing daily, weekly statement required for the management.

II. With banks:
 Issuing of Fixed Deposit Certificate. Calculation of interest and to keep record of their maturities etc.
 Settlement of Import Bills as per due date.
 Issue of L/G’s as per facilities.
III. Investment Accounting (Theoretical)
 Accounting of Purchase and Sales of Investments.
 Valuation of Investments at the end of Accounting year.
IV. General (Theoretical)
 Having knowledge of Letter of Credit (Import & Export), Guarantees, Demand draft, Telex transfer etc.
 Can do self correspondence with Banks, Suppliers and Customers as per requirements.
 Can do management reports in Excel spreadsheet.
 Knowledge of fully Computerized Financial and Management Accounting system with various Profit center and Cost centers within a group.
 Preparation of Monthly, Quarterly and Annual Financial Statements like Trial Balance, Profit & Loss A/c and Balance Sheet & Cashflow Statement.

Company industry:
Telecommunications
Job role:
Accounting and Auditing

Accountant

February 2010 - November 2011

Wethaq Al Wataniya

Hawali, Kuwait

February 2010 - November 2011

Period: Feb 2010 to Nov 2011
Company: Wethaq Al Wataniya, Shaab, Kuwait
Designation: Accountant
DUTIES & RESPONSIBILITIES HANDLED
I. With companies:
 Reconciliation of Bank Accounts and Inter Group Company reconciliation.
 Handling Petty Cash, preparation of Bank Payment vouchers and Cheques.
 Preparing Sales Invoices, Purchase and Sales Returns and related Debit and Credit Notes.
 Passing of journal entries relating to Sales (Receivables) and Purchase (Payables) Invoices, preparing monthly Receivable and Payable ageing statement and timely payment to Suppliers etc.
 Provision for expenses such as Rent, Electricity, Salaries and Depreciation on Assets.

Company industry:
Sales Outsourcing
Job role:
Accounting and Auditing

Accountant (as trainee)

August 2009 - February 2010

Al Babtain Group, Kuwait

Al Farawaniyah, Kuwait

August 2009 - February 2010

Period: August 2009 to Feb 2010
Company: Al Babtain Group, Kuwait
Designation: Accountant (as trainee)

DUTIES & RESPONSIBILITIES HANDLED
I. With companies:
 Reconciliation of Bank Accounts and Inter Group Company reconciliation.
 Preparing Sales Invoices, Purchase and Sales Returns and related Debit and Credit Notes.

Company industry:
Automotive Dealership & Distributor
Job role:
Accounting and Auditing

Junior Accountant

March 2009 - August 2009

Kokan Mercantile Bank

India

March 2009 - August 2009

Period: March 2009 to August 2009
Company: Kokan Mercantile Bank, Chiplun, India
Designation: Junior Accountant

DUTIES & RESPONSIBILITIES HANDLED
I
II. With banks: ❖ Issuing of Fixed Deposit Certificate. Calculation of interest and to keep record of their maturities etc.
❖ Settlement of Import Bills as per due date.
❖ Issue of L/G's as per facilities.

III. Investment Accounting (Theoretical)
❖ Accounting of Purchase and Sales of Investments.
❖ Valuation of Investments at the end of Accounting year.

IV. General (Theoretical)
❖ Having knowledge of Letter of Credit (Import & Export), Guarantees, Demand draft, Telex transfer etc.
❖ Can do self correspondence with Banks, Suppliers and Customers as per requirements.
❖ Can do management reports in Excel spreadsheet.
❖ Knowledge of fully Computerized Financial and Management Accounting system with various Profit center and Cost centers within a group.
❖ Preparation of Monthly, Quarterly and Annual Financial Statements like Trial Balance, Profit & Loss A/c and Balance Sheet & Cashflow Statement.

Company industry:
Banking
Job role:
Accounting and Auditing

Education

University of Mumbai

May 2009

May 2009

Bachelor's degree, Accounting & Auditing

India

Year: 2009 University: University of Mumbai, India Level Achieved: B. Com. (with financial accounting & auditing as special subj)

Skills

Accounts Receivable
Expert
Accounts Receivable
Expert
Accounts Payable
Expert
Accounts Payable
Expert
Journal Entries
Expert
Journal Entries
Expert
Bank Accounting
Expert
Bank Accounting
Expert
Petty Cash
Expert
Petty Cash
Expert
A/C
Beginner
A/C
Beginner
ACCOUNTANT
Expert
ACCOUNTANT
Expert
ACCOUNTING
Beginner
ACCOUNTING
Beginner
ACCOUNTS PAYABLE
Beginner
ACCOUNTS PAYABLE
Beginner
ACCOUNTS RECEIVABLE
Beginner
ACCOUNTS RECEIVABLE
Beginner
AND SALES
Beginner
AND SALES
Beginner
BALANCE SHEET
Beginner
BALANCE SHEET
Beginner
BASIS
Beginner
BASIS
Beginner
C
Beginner
C
Beginner
CASH
Beginner
CASH
Beginner
Accounts Receivable
Expert
Accounts Receivable
Expert
Accounts Payable
Expert
Accounts Payable
Expert
Journal Entries
Expert
Journal Entries
Expert
Bank Accounting
Expert
Bank Accounting
Expert
Petty Cash
Expert
Petty Cash
Expert

Languages

Hindi
Beginner
Urdu
Beginner
Arabic
Beginner
English
Beginner