Jainu Faseehan
Accountant
Dubai, Karama
Summary of Career
1. Handling Accounts Payable and Accounts Receivables.
2. Updating Daily sales and purchases Entries in Ledger Account as well ERP.
3. Posting Bank and other Receipts in System Daily basis.
4. Managing day-to-day cash and Bank transactions
5. Posting and processing journal entries.
6. Inventory management.
7. Day-to-day Petty cash management.
8. Preparing Bank Reconciliation Statement.
9. Preparing Cash Flow Statement.
10. Preparing year-end financial statement (comprehensive Income Statement, Financial Position and Cash Flow Statements)
Experience as Accountant
30 January 2020
To date
• Preparing financial reports such as Balance sheet, Profit and loss A/C, and Cashflow Statement.
• Posting day-to-day bookkeeping transactions activities.
• Preparing VAT reports and filing VAT Returns.
• Handling accounts up to finalization.
• Post and process journal entries to ensure all business transactions are recorded.
• Preparing and submit weekly and monthly reports.
• Manage all the company transections including general ledger, accounts payable, receivable, and bank reconciliation.
• Provides accurate financial information to management by researching and analyzing accounting data, preparing reports.
• Preparing month-end accounts close process.
Experience as Assistant Accountant
18 September 2013
02 March 2015
• Making journal entries and performed month end duties.
• Prepared Monthly utility payments.
• Preparing and maintain daily cash book, monthly cash book.
• Managing petty cash book account.
• Preparing Vouchers for daily expenses.
• Preparing Bank Reconciliation statements.
• Prepared month-end close process
• Manage the cheque processing system.
• Managing day-to-day cash and bank transactions
• Maintaining Fixed Assets Register.
• Assisting for the preparation of financial statements.
Experience as Accountant
09 March 2017
05 December 2019
• Handling Accounts Payable and Accounts Receivables.
• Updating Daily sales and purchases Entries in Ledger Account as well ERP.
• Posting Bank and other Receipts in System Daily basis.
• Managing day-to-day cash and Bank transactions
• Posting and processing journal entries.
• Inventory management.
• Day-to-day Petty cash management.
• Maintaining fixed Assets Register and depreciation calculation.
• Preparing Bank Reconciliation Statement.
• Preparing Cash Flow Statement.
• Preparing Monthly Payroll Process.
• Maintaining of client’s files and communication with clients.
• Carry out detailed Record keeping on ERP system as well as Physical documents maintain.
• Completing financial Reports on a regular basis.
• Preparing year-end financial statement (comprehensive Income Statement, Financial Position and Cash Flow Statements)
• Organising all documentation for all transaction posted in a timely manner.
• Reporting all accounting event to the account manager in a timely manner.
Bachelor 12 June 2019
Bachelor of Commerce Accounting, Auditing, Financial Reporting, Financial Statements,Final Accounts.Intermediate 04 April 2018
Certified Management Accountant-Managerial LevelIntermediate 17 October 2019
Association of Accounting Technician - Final Level