Ranjith Gopi
Accountant
Dubai
Summary of Career
1. Monitoring the Daily cash balance with banks
2. Maintaining the Fund flow
3. Bank Reconciliations
4. Forecasting of cash proceeds and cash Disbursements
5. Preparing monthly Management Reports
6. Responsible for Accruals, Prepayments and Provisions, etc..
7. Preparing sales Invoices( Progress Invoice as per the instructions)
8. Monitoring Sub Contractors payments
9. Preparing schedules for the all the Guarantees and Bons
10. Comparison of bank Facilities, charges, commissions etc..
Master 01 April 2002
M.com with Management foreign trade