Focused Accounting professional with years of experience maintaining financial records and reviewing account activity. Proven track record of developing accurate spreadsheets and delivering organized reports. Accomplished in taking on tasks within strict deadlines while prioritizing urgent needs.
Overview
6
6
years of professional experience
1
1
Certification
Work History
Accountant
BCC GROUP INTERNATIONAL
Abu Dhabi, United Arab Emirates
06.2022 - Current
Enhanced financial decision-making capabilities by providing timely, accurate information to management through regular performance reports.
Managed cash flow effectively, ensuring all company liabilities were met in a timely manner and surplus funds were invested wisely.
Gathered financial information, prepared documents, and closed books.
Reconciled accounts and reviewed expense data, net worth, and assets.
Collected and reported monthly expense variances and explanations.
Used accounting software to issue tax returns and prepare consolidated reports.
Trained new employees on accounting principles and company procedures.
Improved financial reporting accuracy through meticulous data analysis and reconciliation efforts.
Conducted thorough internal audits to identify discrepancies, recommend corrective actions, and ensure adherence to established policies and procedures.
Audit Assistant
Varma & Varma Chartered Accountants
11.2019 - 11.2021
Assessed financial statements and records.
Worked audit engagements for industries in engineering, manufacturing, non-profit and human resources.
Inspected general ledger for accuracy.
Recommended changes in internal audit controls.
Reviewed and assessed accounting systems and business controls.
Interacted with key client management to gather information, resolve audit-related problems and make recommendations for business and process improvements.
Performed extensive assessments of payables and receivables, equity, debt and revenue to verify accuracy in financial reports.
Identified various risks and errors in accounts to propose corrective action to client management.
Analyzed trends over monthly, quarterly and annual financial data to investigate fluctuations.
Prepared working papers, reports and supporting documentation for audit findings.
Provided journal entries and performed accounting on accrual basis.
Tracked funds, prepared deposits and reconciled accounts.
Identified management control weaknesses and provided value added suggestions for remediation.
Developed and implemented corrective actions to bring business areas in line with standards.
Accountant
Hampshire Corporate Solutions Pvt. Ltd.
08.2018 - 09.2019
Gathered financial information, prepared documents, and closed books.
Documented cash, credit, fixed assets, accrued expenses and line of credit transactions.
Completed daily cash functions like account tracking, payroll and wage allocations, budgeting, donating and cash and banking reconciliations.
Reconciled accounts and reviewed expense data, net worth and assets.
Statutory Reconciliation.
Tracked financial progress by creating quarterly and yearly balance sheets.
Prepared documents, reports and presentations for executives and board members using advanced software proficiencies.
Identified and investigated variances to financial plans and forecasts.
Coordinated with auditors on annual audits and realized compliance with governmental tax guidelines.