I have around 11 years of experience in the finance department, my skill including but are not limited to preparation of profit & Loss, Variance analysis, Budgetary control statement, Accounts Reconciliation, Inventory management & bookkeeping,
I have around 11 years of experience in using Microsoft excel & various accounting software’s, I am currently working in the capacity of Senior accountant in The Loft Fifth Avenue Hair & Beauty Salon LLC Dubai, UAE in addition to this I am also working as a group accountant and handling United Cool LLC & Selayia Investment accounting work.
A. Accounting Reports:
o Prepare Monthly & Annually Profit & Loss statement
o Budgetary Control Statement
o Variance analysis for P&L
o Prepare Ad-Hoc accounting reports.
o Head office expense sheet & allocation
o Employee Gratuity Report o Depreciation Schedule & Fixed asset report
o Accounts payable
B. VAT Accounting
o VAT adjustment entries
o VAT Calculation
o VAT Filing
C. General Accounting
o Post journal entries & utility expenses
o Adjusting & Closing Entries
o Support year-end close process.
o Bank reconciliation
o Inter branch Reconciliation.
o Branches petty cash management
o Track bank deposits and payments & monitor bank reserves
D. Employee Salaries & other Benefit Accounting
o Prepare & post employee salaries & commissions.
o Gratuity Calculation & Employee Clearance
o Employee air ticket reimbursements
o Employee advances & account reconciliation
o Employee Insurance expenses and amortization
o Maintain & reconcile staff visa expense accounts.
A. Operation Manager:
o Provide approval for loan disbursement.
o Responsible for a smooth branch operation
o Manage cash in bank vaults amounting from 25 million per day.
o Acting as the main custodian of the branch & cash vaults
o Provide approvals for large cash transactions.
o Signature’s verification
o Plan, assign and review staff work.
o Representing the branch on meetings
o Assist in employee hiring, training & appraisals.
o Branch reconciliation and reporting
o Cash reserves management
o Resolving complaints or account discrepancies
B. Cash officer & Customer Service
o Cheque & cash deposits and withdrawals’ complete process
o Process loan payments, public utility bill payments,
o Order a supply of cash to meet daily needs.
o Provide customers with their required information regarding accounts balances & loans.
o Compute financial fees, interest, and service charges.