Niza mol T A
General Accountant
Abu Dhabi
Summary of Career
1. Detail-oriented, efficient and organized professional with extensive experience in accounting systems.
2. Excellent research and financial analysis abilities.
3. Possess strong analytical and problem-solving skills, with the ability to make well thought out decisions.
4. Facilitation of internal and external auditing procedures.
5. Developing and implementing financial systems and controls
6. Resourceful in the completion of projects, effective at multi-tasking.
7. Preparing, filling and submitting UAE VAT return.
8. General knowledge of payroll and bookkeeping.
9. Advanced knowledge of spreadsheet and accounting programs, such as Excel and QuickBooks.
10. Highly trustworthy, discreet and ethical.
Experience as General Accountant
Media City Advertising and Publishing LLC
01 May 2016
• Preparation of profit, loss account and balance sheet.
• Preparing, Filling and Submitting VAT Report.
• Preparation of various reports and statement for auditing.
• Handling petty cash and books of records
• Preparation of cheque and payment vouchers.
• Scrutinize Customers and Vendors ledger.
• Enter all transactions such as sales, purchase and other expenses.
• Maintaining and updating of all cash book and Ledgers.
• Preparation of supplier’s statement, tracking and follow up.
• Preparation of various monthly sales reports and analysis.
• Maintaining and updating sales register, purchase register and journal book.
• Accounts receivable and accounts payable follow up.
• Cross check all books of accounts such as journals and ledger with voucher.
• Handling bank account and bank reconciliation.
• Preparation of Invoices, Purchase Order and Quotations.
Experience as Assistant Accountant
Reliance Life Insurance Company
02 April 2012
29 February 2016
• Assist with day-to-day operations of the Finance department, including filing, report generation,
Budget review, etc.
• Preparing financial documents such as invoices, bills, and accounts payable and receivable.
• Coordinating internal and external audits.
• Prepare management report related to account payable and receivables.
• Prepare period end journals for repayments, accruals, commission payment and depreciation.
• Handling petty cash and books of records.
Bachelor 01 August 2005
Three Main Finance, Accounting and Business Management