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Summary of Career
1. • Responsible for Full cycle of Accounts Payable through different Currencies (Usd, Aed, Euro Etc).
2. • Process High volume of payment for routine vendors by mode of Cheque or Bank Transfer.
3. • Responsible for Generating & maintaining the cash forcast report.
4. • Processing & Verifying accounting transactions daily.
5. • Summarized of current financial status by collecting information, Such as Financial Statements.
6. • Processing & Recording of LC/TR payments.
7. • Monitor Bank balance position daily, updating Treasury dept time to time.•
8. • Assisting Chief Accountant for preparation of Ageing report, Cash Flow report etc
9. • Prepare supplier account reconciliation on monthly basis based on the categorization of suppliers and liaise with respective department regarding any unreconciled balances.
10. • Co-ordinating with Procurement dept for payment process or any queries.