VIJU C GEORGE
SENIOR ACCOUNTANT
DUBAI
Summary of Career
1. DAY TO DAY ACCOUNTING FUNCTION
2. HANDLED ACCOUNTS PAYABLE
3. HANDLED ACCOUNTS RECEIVABLE
4. HANDLED INTER COMPANY ACCOUNT
5. CASH FLOW
6. WPS SALARY
7. BANK RECONCILIATION
8. MONTHLY MIS REPORT AS PER MANAGEMENT REEQUIREMENT
9. VAT SUBMISSION
10. YEARLY AUDIT
Experience as FINANCE MANAGER
15 July 2002
10 April 2010
Preparation of MIS reports as per management requirement.
Handling cash flow requirements of the company, handling petty cash, daily banking transactions which includes daily cash sale deposit, preparing Telegraphic transfers, bank reconciliations, cheque payments
Following up for accounts receivables and payables
Coordinating with Statutory Auditors for finalizing the annual audits
Experience as SR. ACCOUNTANT
15 April 2010
31 May 2012
Checking and posting of all Vendor’s invoice (around 300 Vendors which includes overseas vendors) Monthly Creditor Reconciliation
Preparation of Vendor’s payment proposal (which include online wire transfer )
Booking of day-to-day banking including bank reconciliation and inter company reconciliation.
Preparation of weekly report Handling day-to-day activities and any other work assigned by the Financial Controller
Handling daily petty cash -which includes checking and posting of petty cash vouchers
Preparation of different type of schedule as per management requirement and audit purpose
Experience as ACCOUNTS MANAGER
01 May 2012
30 June 2013
Preparing outlet wise MIS reports as per management requirement.
Passing accounting entries for sales and purchases relevant for outlets.
Intercompany reconciliations, creditors reconciliations and timely payment
Handling cash flow requirements of the company, handling petty cash, daily banking transactions, preparing TT, monitoring Cash deposits, bank reconciliations, cheque payments and ensuring payroll disbursement through WPS mode
Dealing with inventory, handling stock transfers, valuation of stocks and maintaining and reconciling stock records
Monitoring debtors and creditors movement on fortnightly basis to minimize bad debts and ensure effective credit utilization
Constant endeavour to enhance computer systems and procedures to generation of effective reports and to ensure economy of time and money
Finalizing & smoothly completion of audits yearly
Experience as ACCOUNTS MANAGER
01 July 2013
30 June 2019
Finalizing & smoothly completion of audits yearly
Passing accounting entries for sales and purchases.
Handling cash flow requirements of the company, handling petty cash, daily banking transactions, preparing Telegraphic transfers, bank reconciliations, cheque payments
Monitoring debtors and creditors movement on fortnightly basis to minimize bad debts and ensure effective credit utilization
Handling Payroll Processing function involving computation of salary
Managing payroll function for employees involving processing of leave travel, loans processing, final settlements and controlling management & employee payrolls
Ensuring payroll disbursement through WPS mode
Constant endeavour to enhance computer systems and procedures to generation of effective reports and to ensure economy of time and money.
Partners Accounts reconciliations and preparing MIS reports.
Independently handle staff visa related matter and company license renewal matter.
Quarterly Vat filing and submitting independently.
Finalizing & smoothly completion of audits yearly
Matric 12 June 1984
MATH, HINDI, SCIENCE, SOCIAL STUDY, ENGLISHBachelor 31 July 1989
ACCOUNTANCY, BUSINESS MANAGEMENTOther 31 August 1991
HSM FROM NIIT, PUNE, INDIA