Experience:
HORECA TRADING LLC: Oman (FMCG products Trading Company)
Position : Accountant (From September 2021 to Till Date)
Profile in HORECA :
ERP – NetSuite Program Accounting
Petty Cash,
Accounts Receivable & follow-ups
Accounts Payables
Banking Operations including Supplier Payments & Bank Reconciliation
Journal Entries
Sales, Purchase
Cash Flow Management
Warehouse Operations Control
Monthly stock taking and reporting
Visiting customers periodically for balance confirmation
Sales Support
Handling of Accounts staff for recording entries in system
Accruals
Credit Control Management
Assets Management
Internal Control
MIS & Flash Report
VAT Returns Filing
Audit support
METWORLD DMCC: Dubai (Plants & Factories in AFRICA -, H.O. in Dubai)
Position : Accountant & Procurement Officer (From November 2020 to August 2021)
Profile in METWORLD :
Estimate and establish cost parameters and budgets for purchases
Create and maintain good relationships with vendors/suppliers
Make professional decisions in a fast-paced environment
Maintain records of purchases, pricing, and other important data
Review and analyze all vendors/suppliers, supply, and price options
Develop plans for purchasing equipment, services, and supplies
Negotiate the best deal for pricing and supply contracts
Ensure that the products and supplies are high quality
Maintain and update a list of suppliers and their qualifications, delivery times, and potential
future
development
Work with team members and procurement manager to complete duties as needed
TWO A WORLDWIDE LLC: Dubai (Paints & FMCG Distribution in AFRICA &, H.O. in Dubai)
Position : Senior Accountant (From January 2020 to May 2020)
Work Profile in 2AW :
ERP - SAGE Program Accounting
Posting at HO, Handling all African Branch consolidation Accounting
Taking care of expenses of Branches Cash, Bank, Remittance, Export documents check.
Petty Cash Reimbursement & Bank Reconciliation
Journal Entries
Sales, Purchase
Cash Flow, Fund Flow
COGS
Accounts Payable & Receivable from dealers customers
Handling of Accounts staff for recording entries in system
Accruals
Credit Control Management
Credit & Debit Notes
Payment to Suppliers
Assets Management
Internal Control -Budgeting
Inventory Valuation
VAT
Preparation of Trial Monthly and P&L
Financial Year Audit Responsibility.
VODAFONE : India (Telecom Company)
Position : Senior Executive (April 2019 to Jan 20)
Work Profile in Vodafone : (New Zealand Process)
Back Office Work
Credit Checks Process
Customer technical system issues &resolution
Daily Reports
INMAA Group Of Companies: Djibouti,Africa(Group Of Company)
Senior Accountant (Jun 2018 to Nov2018)
Work Profile in Inmaa :
Petty Cash Reimbursement & Bank Reconciliation
Journal Entries
Sales, Purchase
Accounts Payable & Receivable from dealers customers
Handling of Accounts staff for recording entries in system
Accruals
Credit Control Management
Credit & Debit Notes
Import Duty / Documentation, Bill Of Lading ETC
Fixed Assets Management
Sales & Purchase Invoices forpayments.
Internal Control -Budgeting
Inventory Control
Financial Year Audit Responsibility
ALMARAI Company : Saudi Arabia (Dairy / FMCG) Position:
Accounting Officer (February2015toMay2018)
Work Profile in Almarai :
Petty Cash Reimbursement & Bank Reconciliation
Journal Entries
Mandatory reports to be verified by finance staff on daily basis.
Day Close, Month End process.
Calculation of Payments followed by procedure
Incident Handling and management (Fraud, Short Cash and etc.)
Procedure for receiving safe guarding and recording of Money in system.
Procedure for handling fake notes
Claiming of expenses by sales location employees
All Payments &Accruals
Managing and Controlling General Debtors
Credit & Debit Notes
Control & Management of Customer Masters in System
Overdue Customers Reminder Letters / Block Sales through System.
Verification of Assets Monthly Report
Location finance procedures
Weekly, Monthly, Quarterly & Yearly Audit Activities, Adhoc reporting
Verification of Sales & Purchase Invoices for payments through approvals.
Internal Control
Forecasting -Budgeting
Verification of Warehouse & Workshop Stocks Reports
Customers for Balance Confirmation
Financial Year Audit Responsibility
Responds to Inquiries from the Regional Finance Controller and other finance and
organization wide managers regarding financial results,special reporting requests and the
likes.
After Completion of 9 Months tenure in Almarai ,I got an opportunity to handled depot based
on my experiences.
AGL Panaria Pvt. Ltd.:India(CeramicTiles)
Sr. Executive Accounts(October2011toFebruary2015) Work Work Profile in AGL:
Cash & Bank Reconciliations
Foreign Remittance Transfer through Bank(TFCPC)
Sales Invoice/Stock Transfer & Purchase Accounting
Import /Export Documentation
Calculation of Credit Note &Verification
Debtors/Credit Limit Control
Assets Valuations
Preparing Monthly All Branches Budget and Funds Management
Payments of Vendors / Service Providers
Dealers & Other Branches Balance Confirmations.
Daily MIS,
VAT, C Forms & FForms
Statutory Assessments & Return Filing
VAT Audit/ServiceTax/IncomeTax
Professional Tax
TDS Returns E-Filing
Trading/Profit&Loss for BalanceSheet.
Audit Responsibility.
Elofic Industries Ltd. – India (Automobile Filter Product Company)
Branch Accountant (Retail / Wholesale Branch) (March2003toOctober2011)
Work Profile in Elofic:
ERP Accounting System
Petty Cash &Banking
Sales &Purchase
Handling Orders from Retail & Wholesale Customers Account & Orders
Bank Reconciliation
OEM’s TATA Motors, Mahindra’s Dealers Coordinating
MIS-Reportingto Branch Head & Head Office
Credit Control
Collection Followups
Credit Note, Debit Note
Communication with HO
VAT, C&F Forms, Sales Tax Assessment, VAT Audit
All Branches Balance Reconciliations
Branch Audit Responsibility.
STP Limited. – India (Water Proofing Chemical Mfg.)
Branch Accountant (May1999toFebruary2003)
Work Profile in STP:
Branch Accounting
Cash
Bank Entries
Fund Transfer toH.O.
Sales
Purchase
Sales Tax
Sales Tax Assessment
MIS
Debtors Control
Inventory Control
Credit Limit Control
Branch Audit
Education:
Bachelor's of Commerce
Skills:
All daily-Monthly Accounting activities including posting and verify entries, Warehouse
Operations, Dealing with Suppliers, Ledger updates, VAT, Documentation and reporting, All
daily & monthly reporting, AP & AR, Local Tax return filing, Forecasting, Financial statement,
Account / Bank / Cash reconciliation, Organizational strengths, Problem Solving Skills ,
Computer Proficient, Expense Control, Supplier co-ordination, Credit Collections follow-ups,
Credit Note / Debit Notes, Trial Balance, P&L, Year End Audit Support, Petty Cash / Banking,
Prepares and records asset, liability, revenue, and expenses entries by compiling and
analyzing account information. Co-ordination with Sales Team and Customers as well, Visiting
Customers on regular interval for accounts reconciliations, HO account reconciliation monthly,
Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling
transactions; resolving discrepancies. MIS & Flash report monthly, Protects organization's
value by keeping information confidential. Day close / Month End processing, Interpersonal
Skills
Additionally:
Date of birth : March 25,1977
- Marital status :Married
- Personality :Pleasant
- Education: Bachelor of Commerce
- Other Certifications:
Teamwork and Team Building
Presentation Skills
Public Speaking
Basic Leadership
Languages Knows :
English (Proficient – reading writing
and speaking)
- Hindi (Proficient - reading writing
and speaking)
- Gujarati (Proficient - reading
writing and speaking)
- Arabic (understand and
speaking- Beginner)