Sunil Kumar
Accounting & Finance
Dubai
Summary of Career
1. Treasury
2. Cash Management
3. Financial Reporting
4. General Accounting
5. Banking & Finance
6. Accounts Payable
7. Trade Finance
8. Banking Facilities
9. Financial Statements
10. Fund Accounting
Experience as Senior Accountant
UBL Fund Managers
01 April 2013
10 September 2014
UBL Fund Managers Ltd is in top 3 Asset Management Companies of Pakistan and wholly owned subsidiary of United Bank Limited. My job role was as follows:
- Calculation of daily Net Asset Value (NAV) of the funds assigned
- Preparation of monthly performance reports, monthly SECP & SBP reporting, monthly group reporting and other regulatory reporting
- Preparation of daily, weekly and monthly bank reconciliations
- Preparation of quarterly, semiannually and annual financial statements of the funds
- Validation of accruals & valuation of underlying securities in the fund i.e. TFC’s, Equity, T-Bills
- Communication with external organizations (CDC Trustee, Banks, Regulators, Tax Authorities) over different outstanding matters
- Coordination with internal and external auditors (PWC, KPMG, Deloitte, EY & BDO)
- Other tasks include taking part in process improvement for software development, performing User Assistance Testing (UAT) for new modules and reports, attending on job trainings etc
Experience as Senior Accountant
Al Ryum Group
01 September 2014
03 May 2017
Job role was as follows:
- Monitoring liquidity position of the group and arranging inter-company transfers to streamline and smooth operations of working capital cycle
- Weekly cash flow budgeting to plan future requirements with CFO
- Monitoring a track record of letter of guarantees, letter of credits, TT payments
- Issuance, amendment, cancellation and discounting of Letter of credits (Inward & Outward)
- Review of LC Terms (DDP, FCR, CIF, C&F) to act accordingly for issuance of insurance policy
- Dealing with all bank related matters (Payment Discounting, TR Applications, LC & LG, banking facilities) and monitoring bank reconciliations with ledgers
- Supervising all supplier Chq, telegraphic transfers, payments through LC, utilities, credit cards
- Reconciling supplier accounts with ledger and preparing ageing reports
- Active liaison with procurement for LPO, project managers for contract certificates, QS department for Client Payment Certificates and store & warehouse regarding GRN
- Monthly and weekly reporting of general ledgers, supplier accounts, payment schedules
- Preparing schedules of bank borrowings against payment certificates, vehicle leasing, clean overdraft
- Treasury and financial reporting for sister concern in Dubai, Qatar & Saudi Arabia
- Overseeing and suggesting internal control weaknesses to internal auditor and system improvements
- Other ad hoc reporting for Senior Finance Manager and Finance Director
Experience as Senior Accountant
Wadi.com
16 May 2018
Currently employed with Wadi.com (an E-commerce startup of Rocket Internet Group Germany) reporting to CFO with two members working under my supervision with following responsibilities:
- Preparing daily cash flow position and liquidity position of the company
- Allocation of funds to respective trade and non-trade operational activities
- Supervision of receivable management and collection summary for liquidity function
- Updating seller center portals for both UAE & KSA operations after weekly payment cycle
- Handling all online banking transactions, credit cards and banking relationship management
- Supervising payable function throughout UAE, KSA & India including 3PL reconciliations
- Liaison between banks, marketing department, customer care department, key account managers and other departments to settle outstanding matters or open tickets including vendor queries.
- Other ad-hoc reporting as and when assigned by immediate supervisor.
- Point of contact for all banking related activities including FX rates, currency conversion, account opening & closing and regulatory compliance
- Closely working on receivable, financial reporting with other team members for overall optimization of finance function.
Bachelor 01 March 2014
? BSc Hons (Accounting) from Oxford Brooks University – Awarded in 2014Other 01 December 2012
? Association of Chartered Certified Accountants (ACCA) – Awarded in 2012