Jithin Sathish
Accountant
Dubai
Summary of Career
1. Accounts Receivable- Complete cycle
2. Accounta Payable - Complete cycle
3. Payroll and wps process
4. Petty cash Handling
5. Bank reconciliation
6. Employess final and leave Payment
7. Insurance, rent renewals
8. Making lpo, invoice and entering Purvhase bills
9. Dealing with Bank guarantees
10. Writing letter and emails
Experience as Accountant & HR
25 February 2020
18 March 2020
tant & HR
✓ Daily wise entry of company's purchase, expenses in excel
✓ Preparing & Vat Payment
✓ Preparation of daily sales & monthly Report
✓ Preparation of monthly Creditors payment Report
✓ Petty cash management
✓ Preparing payroll sheets updating employees visa and other details
✓ Giving advertisement and doing preliminary interview by phone
✓ Arranging candidates interview with MD
Experience as Accountant
11 December 2017
20 July 2019
✓ Daily wise entry of company's purchase, expenses and sales bill
✓ GST works
✓ Preparation of daily sales & collection Report
✓ Preparation of debtors outstanding Report
✓ Petty cash management
✓ Assisting Auditor’s in Preparation tax payments
Experience as Accountant
07 June 2014
15 June 2016
✓ Generating Sales Invoices & posting Purchase bills
✓ Following the whole receivables and payables account
✓ Follow up of all insurance policies and make sure the same is updated on time
✓ Deals with banks for issue of letters of credit and bank guarantee and other various issues
✓ Coordination with clearing agent to deliver and receive goods and taking duty exemption
✓ Experienced in preparation of monthly bank reconciliation
✓ Preparation of cash flow statement
✓ Handle petty cash
✓ Coordination of stock taking procedure for financial preparation as well as random check
✓ Assisting CFO in Audit preparation of yearly financials in audit format and submitting to auditors
✓ Preparation of payroll and WPS
✓ Preparation of leave and final settlement
✓ Preparation of GPSSA
Experience as Accountant
08 December 2007
19 December 2013
✓ Managed and directed all financial transactions including debit notes, payment vouchers, and receipts
✓ Following the receivables and payables account
✓ coordination with clearing agent to deliver and receive goods
✓ Controlled inventory through physical stock on a routine basis
✓ Oversaw all pricing changes as well as all invoicing
✓ Handle all cash payments, bank reconciliations, and petty cash payments
✓ Work directly with peers, management, and staff to ensure solid policies and procedures
✓ Preparing daily cash report
✓ Coordinated with Audit firm in preparation of profit and loss accounts and balance sheet
✓ Have assisted in sales to compensate shortage of staff
Experience as Junior Associate
16 October 2006
30 November 2007
Dealing with individual tax paying clients
Bachelor 01 June 2006
Bachelor of commerce