Rasheed TK

Remittance staff
Ajman


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Skills
Cash management cheque management financial analysis Book keeping internal control WPS service Sif file creation P&L
  • Experience
    2 Years
  • U.A.E Experience
    --
  • Industry
    Banking & Finance
  • Nationality
    Indian
  • Visa status
    Employment Visa in UAE
  • Qualification
    Master - MBA specialised in Finance
  • Driving License:
Other Matching Titles/Position
Industry Titles
Banking & Finance

Summary of Career

Work Experience (Employment History)

Experience as Material officer cum Accountant

  • Employer

    Reliance Retail limited

  • From

    01 February 2013

  • To

    30 May 2015

  • Detail

    ? Maintaining optimal stock levels to ensure timely availability of products.
    ? Managing excess and ageing stock.
    ? Minimizing exposure to obsolete and excess stock.
    ? Using electronic inventory tracking to scan stock and reconcile inventory.
    ? Create and maintain spreadsheets to report and analyze data.
    ? Issuing purchase orders to vendors.
    ? Investigating customer complaints.
    • Participated in the annual and quarterly audit of the company including development of the final certification report
    • Process journal entries and perform accounting corrections to ensure accurate records.
    • Participated in day to day accounting like, book keeping, filing, cash management, data entry invoice
    • Verification and analysis of accounts books of the Company
    • This includes the preparation of…
    Day Book, Ledgers, Registers
    Vouchers and Bills
    Bank Reconciliations
    Trial Balance, Profit & Loss A/C and Balanc

Experience as Remittance staff

  • Employer

    Al Ghurair Exchange

  • From

    01 May 2017

  • To

    26 August 2019

  • Detail

    • Processing of all the remittance data promptly and accurately
    • Accept the cash and release the transaction
    • Handling foreign currency and remittance cash and funding to the bank.
    • Ensure proper application of exchange rates, necessary modification.
    • Coordination of all remittance activities of the branch.
    • Handling enquiries and complaints regarding transactions and solving the issues independently.
    • Reporting all essential activity to the Branch Manager on a daily basis.
    • Collecting Cash for WPS and making new contract of new company.
    • Uploading Salary file.

Academic Qualification

Master 01 May 2017

MBA specialised in Finance
Certifications
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