REEJA RAJAN MADHURAJAN
Dubai
Summary of Career
1. HFM reconciliation of out of balance process by analysing of variances between Intercompany balances and resolving the financial out of balances of intercompany Balance sheet
2. Reconciliation of profit and loss account out of balance of intercompany and resolving the variances
3. Preparation of Customer, Vendor reconciliation of intercompany accounts
4. Preparation of Accrual reconciliation of intercompany in Excel and web-based tool
5. Performing different month end activities
6. Preparation of Intercompany netting estimate report
7. Execution of intercompany payments and receipts (Netting) between legal entities
8. Work with Intercompany aged items and reduce the same by following up with legal entities
9. Compare the AR &AP balances of intercompany and post invoices or accruals prior to month end.
10. Post the invoices which need to be done manually by obtaining the GL and Cost centres.
Master 01 June 2012
MBA IN FINANCE and MARKETING from UNIVERSITY OF KERALABachelor 01 June 2010
B.Com WIth COMPUTER APPLICATION from UNIVERSITY OF KERALA