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Accounting Financial

Port of Spain, Port of Spain, Trinidad and Tobago
January 18, 2018

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Vashtee Ramhit, FCCA, MBA, CA



Detail-oriented, efficient and organized professional with extensive experience in accounting system. Possess strong analytical and problem solving skills, with the ability to make well thought out decisions. Excellent written and verbal communication skills. Highly trustworthy, discreet and ethical. Resourceful in the completion of projects, effective at multi-tasking.

Experience with computerized Accounting and Reporting software (Peachtree, Quick-books, Great Plains, Oracle, Magic and Sage –MAS 90). Ability to work independently and effectively in a team environment.


EMBA at Arthur Lok Jack

International Master of Strategic Marketing

Association of Chartered Certified Accountants (ACCA)

Associate Member of Association Of Certified Fraud Examiners USA ( ACFE)


Accountant (October 2007 to Present)

Massy Realty (Trinidad) Ltd (A member of the Massy Group)

St. Clair

Shared Accountant at Massy Properties (May 2017- to present)


Responsible for facilitating and supervising all accounting operations including A/R, A/P, G/L, and fixed assets, resulting in accurate and timely financial reporting. Provide leadership, motivation and guidance to office team, resulting in excellent performance, job satisfaction and positive morale.

Design and implementation of a Business Continuity Plan and design of a Delegation of Authority and procurement system. Maintenance of escrow accounts. Effective budgeting planning and forecasting.

Responsibilities include:

* Responsible for all internal controls and policies.

•Oversees the prepapration of all management accounts for internal and external users in accordance with International Financial Reporting Standards (IFRS).

*Prepare detailed reports on budget mangement,department operations and KPI’s for the Board of Directors

•Ensure the accuracy of general ledger account reconciliations and all Statement of Financial Position and Statement of Financial Performance accounts.

•Balance and reconcile all bank accounts on a monthly basis including escrow accounts.

*Prepapration of all statutory payments and ensure that payments are made on a timely basis.

•Prepare monthly variance analysis for general ledger accounts (actual vs. budget, actual vs. prior periods)

*Prepare and update accounting policies and procedures and evaluate compliance with IFRS

•Participation in special projects and other analyses as assigned.

•Prepare annual budget and financial forecasts and maintain control procedures to analyze and report variances.

•Coordinate and direct preparation of reports and documents needed for annual audit, both internal and external audits as well as to the FIU.

*Prepared and implemented a Business Continuity Sucession Plan for Massy Realty.

Accountant (May.07- September.07)

Assistant Accountant (March 06-April.07)

Skyline Freight & Management Limited



*Financial responsibilities include preparation of timely and accurate financial reports, variance analysis, monthly cash forecasts, annual budgets, maintenance of general ledger and tax filings, cash management and payroll.

•Preparation of audit schedules for the company’s annual audit.

•Responsible for reconciliation of the asset and liability accounts in general ledger, month end closing, and bank account reconciliation.

•Supervising and directing subordinates in accomplishing their tasks within the accounting department including payables and receivables.

Senior Accounts Clerk:

Business Services Group Ltd


September 2005-November 2005


*Financial responsibilities include preparation of clients accounts’ timely and accurate financial reports, variance analysis, monthly cash forecasts and maintenance of general ledger.

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