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Office Executive Tax Accountant

Location:
Dubai, United Arab Emirates
Salary:
55000
Posted:
August 05, 2021

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Resume:

Tushar Arjun Kadam

Highest Qualification: B.Com (Banking & Insurance)

Career: Auditor, Accountant, Taxation- VAT.

Visa status: Employment Visa.

Mobile: +971-**-***-****

Email: adn1v8@r.postjobfree.com

CURRICULUM VITAE

PROFILE SUMMARY:

Bachelor of Commerce (Banking and Insurance) certified profile with 8 + Years’ experience including Value added Tax (VAT), Auditing, Accounting and Taxation. Seeking for mid- level carrier as Tax Accountant, Auditor/ Tax Auditor in FMCG, Manufacturing, Trading, MNC, or Auditing Firm in United Arab Emirate. Major experience through professional career includes but not limited to;

Well versed with UAE VAT law expertise in VAT registration, accounting, VAT audit and communication with Federal Tax Authorities (UAE).

Statutory Audit of companies up to finalization.

Accounting support for companies/ personal.

Process improvements, KPI updating for management review.

Good understanding of blue works and process flow charts. OTHER SKILLS:

Strong verbal and written communication skills.

Punctual and accurate working performance.

Hard working and enthusiastic characteristic.

Proficient with Oracle Business Suite 12, Tally ERP 9, Microsoft Office software (Adv Excel) etc. CAREER SNAPSHOT:

Asst. Finance Controller & Asst. Group VAT Manager: Fakhruddin Holding’s, Dubai United Arab Emirates From: Jan 2019 till Date

VAT Compliance & Assistant to Finance Controller. o Assisting to Finance Controller to prepare VAT registration/deregistration/filling VAT returns VAT Audits from FTA & Replies to concern from FTA at group level. o Assisting to finance Controller to follow and adapt new changes in business environment i.e. audit compliance, statutory compliance, new compliance requirements etc. o Maintain appropriate filing of all documentation. o Review supporting documents to check compliance before filing the returns. o Reconciliation with VAT ledgers and Sales/Purchase, vouch and verify invoices, export & Import documents.

o Reconciliation of Intercompany ledger, reconciliation of VAT ledgers with actual VAT payments and report if any discrepancy.

o Periodically update company information on FTA portal. o Liaises with internal departments of the group on VAT and accounting matters.

Auditor / Accountant:

Harish Dawda Auditing, Sharjah United Arab Emirates From: October 2016 to May 2018

Accounting support to the client as per requirements (i.e. day to day basis, weekly etc). o Day to day accounting activities like purchase, sales, debit /credit note, receipts and payments of bank/ cash.

o Monthly, quarterly, half yearly and yearend reconciliation of receivable and payable ledger with client’s vendor, bank reconciliation for the every month etc.

Internal audit for companies to standardizes and establish internal control within organization. o To perform surprise check visit at client place at any time in a month to insure proper recording of accounting, inventory transaction.

o To check proper cash accounting as per the standards. o To check debtors /creditors ledger for the receipt and payments made till date as per terms of payments.etc.

Statutory Audits to prepare financial statements at the yearend as per the requirement of government and various authorities in UAE.

o To start audit procedure with opening balance verification. o Vouching of purchase, sales, receipt and payments transactions. o Verification of assets and liabilities debtors, creditors, stock, long term short term loans and advances, prepaid /outstanding expenses etc.

Asst. Manager:

Citi Shared Services Limited India associated with Citi Bank North America From: August 2015 to April 2016

Compensation accounting for entire EMEA region.(FRO team)

Variance analysis on MOM actual v/s plan expenses.

Uploading documents on share point for EMEA region for variance and updating the comments received from each country.

Preparing highlights of variance analysis for BD-5 to BD+3.

Financial accounting entries

o Preparing the entries to be posted on Flexcube.

o Running Data dump query for the team from Flexcube.

CFO’s Assistant:

Efficient Data PVT. LTD. (Mumbai, India): From: July 2014 to April 2015

Supervise the day to day accounting.

o Day to day accounting activities includes purchase, sales, debit /credit note, receipts and payments of bank/ cash, PDC payable receivable, inventory report etc.

Direct/ Indirect Taxation –

o Preparing the supporting documents and reply to notices received from Government authorities like sales tax, income tax etc,

o Attending at sales tax and income tax offices for reply to notices. o Reconciliation of VAT C/EI/EII/F/H/I form customers. o Handling auditor requirements for yearend statutory and VAT audit.

Branch executive cum front office executive:

Royal Star Exchange. (Dubai U.A.E.) From: April 2013 — December 2013

Branch Transactions at front and back office.

o Dealing in foreign exchange day to day

o Setting up the exchange rates for the company.

o Sending remittances through Western Union, I Remit etc.

Jr. Audit & accounts assistant.

Bharat Shah and Associates (C.A. Firm Mumbai, India) From: June 2011 — February 2013

Accounting of individual shares, investment and securities up to finalization. o Accounting for all transaction for individuals to file income tax return. o Bank transactions, share purchase/sales transactions and prepare individual balance sheet.

Statutory Audits of private limited companies.

o Basic audit procedure starts with vouching of purchase, sales, and receipt and payments transactions.

o Preparing the fixed assets schedule as per income tax and as per accounting standards. o Vouching of payments made to sales tax, PF, ESIC, and TDS etc.

Financial Reconciliation Officer.

State Street Syntel Services Pvt. Ltd. (Mumbai, India) From: January 2010 — May 2010

Financial Reconciliation and Accounting

o Reconciliation of bank ledger and customer ledger on daily basis to in the process of share transaction settlement.

o Posting the accounting entries in the Global Plus (G+) accounting system. o Reconciliation of transaction process on Transaction Life Cycle Management (TLM software). PROFESSIONAL AND ACADEMIC QUALIFICATION:

B.Com (Banking and Insurance from Mumbai University). COMPUTER PROFICIENCY AND OTHER QUALIFICATION:

Oracle Business Suite 12

Tally ERP 9

Reach Accounting ERP

Ms- Office (Adv. Excel).

Team Management Skill.

PERSONAL DETAILS:

Date of Birth: 18th May 1989

Nationality: Indian

Marital Status: Married.

Language: English, Hindi, Marathi.

Reference: Will be furnished upon request.

Visa Status: Employment Visa.



Contact this candidate