Jan Gul
Accounting
Abu Dhabi
Summary of Career
1. Accounts Payable
2. Accounts Receivable
3. Bank Reconciliation
4. Petty Cash
5. Journal Entry
6. Adjusting
7. Closing
8. Depreciation
9. Payroll
10. VAT
Experience as General Accountant
Murban Group
01 April 2018
30 November 2019
Duties and Responsibility as a General Accountant:
? Prepare different journal entries and posting manually in ledgers
? Prepare monthly sales and purchases reports in excel and booked in system.
? Responsible to prepare payments of suppliers by verifying documents for accuracy
? Prepare daily payment sheet with update payable balance
? Prepare suppliers account reconciliation on monthly basis
? Responsible to manage the process of accounts receivable to receive payments and prepare that checks and cash for deposit in banks account.
? Prepare monthly banks account reconciliation statement
? Monitor and resolve bank issues including fee anomalies and check differences
? Disbursement of all petty cash expenses
? Coordinate physical Inventory and cycle count
? Point out expire, obsolete and damage inventory during physical count
? Properly maintain and arrange all the documented records of different ledgers and accounts for the internal and external audit process
? Assist with Chief Accountant month end adjusting process
? Proficiency in relevant accounting software and advance excel
Experience as Accounts Assistant
Al Falah University
13 September 2015
31 March 2018
Duties and Responsibility as an Accounts Assistant:
? Prepare journal entries and manually posting in ledgers with accuracy
? Perform the process of accounts payable to prepare checks for suppliers and students to pay them accurately and in accordance with finance policy and procedures.
? Manage the process of accounts receivable to receive payments in the form of Cash, Checks, and visa.
? Perform the revenue/fee reconciliation process and other expenses
? Verify and analyze expenses bills and updating system
? Reconcile cash physically and deposit confirmation on daily basis.
? Perform general accounts analysis and reconciliation on monthly basis including Bank statements, Students account, Creditors and resolve their differences
? Administer banking transactions like deposits, withdrawals, transfers and other bank documents
? Handle students account and analyze their statements to generate monthly reports
? Follow up for the Collection
? Perform and assist the senior accountant for the month end adjusting process
? Manage the process of documentation while to maintain the record of all accounts and ledgers properly
? Managing petty cash related to office expenses.
? Assist in the audit process to be-prepare and be-arrange all files & documents for the internal and year end external auditors during audit processes.
Bachelor 31 July 2014
Bachelor of Business Administration in FinanceMaster 31 July 2014
Master of Business in Finance