zuhaib wangde, Accountant

zuhaib wangde

Accountant

Hayat Communactions

Lieu
Koweït
Éducation
Diplôme, CFA
Expérience
15 years, 2 Mois

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Expériences professionnelles

Total des années d'expérience :15 years, 2 Mois

Accountant à Hayat Communactions
  • Koweït
  • Je travaille ici depuis décembre 2011

 Reconciliation of Bank Accounts and Inter Group Company reconciliation.
 Handling Petty Cash, preparation of Bank Payment vouchers and Cheques.
 Preparing Sales Invoices, Purchase and Sales Returns and related Debit and Credit Notes.
 Passing of journal entries relating to Sales (Receivables) and Purchase (Payables) Invoices, preparing monthly Receivable and Payable ageing statement and timely payment to Suppliers etc.
 Provision for expenses such as Rent, Electricity, Salaries and Depreciation on Assets.
 Updating stock on the basis of Goods received note, i.e. Inventory costing, preparing Inventory ageing report & Cost of Sales.
 Preparing daily, weekly statement required for the management.

II. With banks:
 Issuing of Fixed Deposit Certificate. Calculation of interest and to keep record of their maturities etc.
 Settlement of Import Bills as per due date.
 Issue of L/G’s as per facilities.
III. Investment Accounting (Theoretical)
 Accounting of Purchase and Sales of Investments.
 Valuation of Investments at the end of Accounting year.
IV. General (Theoretical)
 Having knowledge of Letter of Credit (Import & Export), Guarantees, Demand draft, Telex transfer etc.
 Can do self correspondence with Banks, Suppliers and Customers as per requirements.
 Can do management reports in Excel spreadsheet.
 Knowledge of fully Computerized Financial and Management Accounting system with various Profit center and Cost centers within a group.
 Preparation of Monthly, Quarterly and Annual Financial Statements like Trial Balance, Profit & Loss A/c and Balance Sheet & Cashflow Stateme

Accountant à Wethaq Al - Wataniya Al - Shaab Kuwait.
  • Koweït - Hawali
  • février 2010 à novembre 2011

DUTIES & RESPONSIBILITIES HANDLED
I. With companies:
 Reconciliation of Bank Accounts and Inter Group Company reconciliation.
 Handling Petty Cash, preparation of Bank Payment vouchers and Cheques.
 Preparing Sales Invoices, Purchase and Sales Returns and related Debit and Credit Notes.
 Passing of journal entries relating to Sales (Receivables) and Purchase (Payables) Invoices, preparing monthly Receivable and Payable ageing statement and timely payment to Suppliers etc.
 Provision for expenses such as Rent, Electricity, Salaries and Depreciation on Assets.
 Updating stock on the basis of Goods received note, i.e. Inventory costing, preparing Inventory ageing report & Cost of Sales.
 Preparing daily, weekly statement required for the management.

II. With banks:
 Issuing of Fixed Deposit Certificate. Calculation of interest and to keep record of their maturities etc.
 Settlement of Import Bills as per due date.
 Issue of L/G’s as per facilities.
III. Investment Accounting (Theoretical)
 Accounting of Purchase and Sales of Investments.
 Valuation of Investments at the end of Accounting year.
IV. General (Theoretical)
 Having knowledge of Letter of Credit (Import & Export), Guarantees, Demand draft, Telex transfer etc.
 Can do self correspondence with Banks, Suppliers and Customers as per requirements.
 Can do management reports in Excel spreadsheet.
 Knowledge of fully Computerized Financial and Management Accounting system with various Profit center and Cost centers within a group.
 Preparation of Monthly, Quarterly and Annual Financial Statements like Trial Balance, Profit & Loss A/c and Balance Sheet & Cashflow Statement.

Accountant (Trainee) à Al Babtain Group Kuwait
  • Koweït
  • août 2009 à février 2010

 Passing of journal entries relating to Sales (Receivables) and Purchase (Payables) Invoices, preparing monthly Receivable and Payable ageing statement and timely payment to Suppliers etc.
 Preparing daily, weekly statement required for the management.

Junior Accountant à Kokan Mercantile Bank, Chiplun, India
  • Inde - Navi Mumbai
  • mars 2009 à août 2009

 Issuing of Fixed Deposit Certificate. Calculation of interest and to keep record of their maturities etc.
 Settlement of Import Bills as per due date.
 Issue of L/G’s as per facilities.

Éducation

Diplôme, CFA
  • à Info Center
  • janvier 2012
Baccalauréat, financial accounting & auditing as special subject
  • à Siddarth College (Mumbai University)
  • juillet 2009

Specialties & Skills

Issuing
Preparation
Management