Sanu Santhosh
ACCOUNTANT
Dubai
Summary of Career
1. General accounts
2. Invoicing
3. Accounts Receivables and Payable
4. Cash Flow
5. Vat filing
6. Corporate tax
7. Finalization
8. Costing of Products
9. Financial Report
10. MS Excel
Experience as Accounts Officer
Indus Motors Company PVT LTD
01 September 2014
06 March 2015
Inputting and ensuring the accuracy of the general ledger books and analysis the movement of accounts.
Checking Sales Receipt and Creditors Payment.
Vehicle road tax payment online.(E-payment)
Assisting auditors during the times of audit.
Documentation and filing of all documents.
Experience as General Accountant
MES FZCO
07 February 2016
09 July 2020
Day-to-day financial operations with regard to financial accounting, general ledger, and revenue accounting.
Prepared, examined, and analyzed records, financial statements, and other reports.
Debtor and creditor reconciliations, limit controlling, and following up for payments.
Preparation of various reports for managers.
Inputting, matching, batching, and coding of Invoices.
Responsible for financial accounts including cash -flow.
Review all petty cash reimbursements for proper documentation.
Responsible for sales analysis and evaluation of costs and margins
Review and confirm payroll related calculations including deduction, staff benefits etc.
Produces payroll and WPS by initiating computer processing.
Prepare an aging report and analyses the credit limit.
Maintaining contact with clients to ensure invoices are clear for payment.
Checking the accuracy of the stock report and stock register maintained by the storekeeper.
Stock & store management, inventory management, job costing, and product pricing.
Checking and approval of receipts and payments.
Posting and allocating daily receipts to accounting systems.
Bad debt follow-up and recovery.
Providing account information to internal departments.
Preparing Bank reconciliations for bank accounts.
Preparation and submission of the quarterly vat return
Completes external audits and provides information for auditors.
Intercompany & subsidiary company reconciliations
Experience as Accountant Executive
Contracting PLUS
30 November 2021
30 June 2022
Handled 200+ personal limited companies
Day to day fund checking in bank portal and release the salary as per client agreement
Invoice creation and issue to contractor as per the timesheet provided by the client
Expenses verification and creation then processing for payment
Monthly bank reconciliation
IRE company tax registration on Ire revenue site
Filing Vat Return, PSR and Corporate Tax on Ireland revenue site
Assist Irish account manager
Provide information regarding outstanding balance
Prepare annual accounts
Conducting weekly meeting with Irish Team
Bachelor 22 April 2012
From Calicut UniversityMaster 07 January 2015
From Bharathiyar University