Contact : +965-********
Email : firstname.lastname@example.org
Accountant with 2.5 Years of experience looking for a challenging position in Accounts/Finance section of an organization, where my education and work experience can have a profound impact, resulting mutual growth and productivity.
: ADM (INDIA)
: Feb 2018 to Aug 2018
Responsible for the general accounting function including preparing journal entries, maintaining balance sheet schedules and ledgers and account and bank reconciliations. Assisting with monthly closings and account analysis and supporting the senior accountant in carrying out the responsibilities of the accounting department.
•Prepare journal entries
•Complete general ledger operations
•Monthly closings of accounts and preparation of monthly financial statements
•Reconcile and maintain Balance Sheet and other various accounts
•Process payments and documents such as invoices, journal vouchers, employee reimbursement and statements.
•Managing petty cash transactions
•Verify items billed against purchase order and reconcile differences through follow-up with the vendor and/or other employees.
•Draw up monthly financial reports
•Accounts and Bank reconciliations
•Prepare analysis of accounts as requested
•Maintain all relevant files and documents in proper order for internal and auditor purpose
2. COMPANY : BURHANI GOLDEN OFFSET PRINTERS (INDIA)
Duration : Oct2015- Oct2017
Designation : Accountant
KEY RESPONSIBLITIES :
Prepare and maintain statutory Books of Accounts i.e. journal, ledger, cash book and subsidiaries in compliance with time & accuracy norms.
Maintain and balance subsidiary accounts by verifying, allocating, posting, reconciling transactions, resolving discrepancies.
Getting Quotations from suppliers as per specification from authorized person.
Reconcile Bank, Cash and Petty Cash Accounts
Prepare and review Age Wise outstanding reports, Reconciliation of receivables, payables and ensure accurate and updated debt collection or payments.
Physical stock taking and verification of stock.
Summarize current financial status by collecting information; preparing Balance Sheet, Profit and Loss statement, and other reports.
Manage Payroll, Leave Salary and EOSB; keep record of advances given to staff & its recovery.
Reporting day-to-day finance positions to the Finance Manager.
Protects organization's value by keeping information confidential.
UNIVERSITY OF PUNE
•Other Microsoft Office Packages
•Accounting packages – Tally ERP
•Self Learner with various Accounting Software
•Ability to work under pressure
•Effectively meet deadlines
•Willingness to learn
•Knowledge of concepts & principles
Date of Birth
: English, Hindi
: Article 18 ( Transferrable )
: Kuwait City