Ruhi Ladhani
Chartered Accountant
Dubai
Summary of Career
1. Ensuring all accounting transactions are recorded and updated in timely manner.
2. Reviewing the trial balance and reconciling the accounts every month
3. Directing cash management operations to include daily cash administration, management of current accounts and bank relations.
4. Overseeing routine AP activities, such as disbursing cheque to ensure that they are completed accurately and on time.
5. Preparation Bank Reconciliation statement in various Currencies.
6. Reviewing and drives improvements in cash management, ensuring financial obligations are met in accordance with Company policies and procedures.
7. Giving approvals for duty payments/ deposits etc. keeping in mind the ageing of the customer and credit terms for the same.
8. Approvals for cash and IOU release and settlement for the same as per the company policies and norms.
9. Ensuring all Prepayments/ CRFs /IOUs are closed in time.
10. Managing a team of Six co-workers who report to me.