Warehouse Associate - Kent Building Supplies - Corner Brook, NL, Canada
(2024-11 - 2026-05)
- Received, inspected, and organized incoming shipments while maintaining inventory accuracy.
- Picked, packed, and prepared customer orders for shipment with a high level of accuracy.
- Loaded and unloaded trucks using pallet jacks and other warehouse equipment.
- Performed cycle counts and assisted with inventory control to minimize discrepancies.
- Maintained a clean, organized, and safe work environment by following company safety procedures.
Accountant - Al Fio Advertising - Dubai, UAE
(2021-12 - 2024-06)
- Preparing financial documents such as invoices, bills, and accounts payable and receivable
- Verifying balances in account books and rectifying discrepancies
- Verifying bank deposits
- Preparation of cheques on the basis of payment advice.
- Managing day-to-day transactions
- Completing bank reconciliations.
- Summarizes current financial status by collecting information; Preparing balance sheet, profit and loss statement, and other reports
Accountant - Al Brooj Technical Services - Ajman, UAE
(2018-02 - 2020-02)
- Preparing financial documents such as invoices, bills, and accounts payable and receivable
- Prepares asset, liability, and capital account entries by compiling and analyzing account information.
- Verifying balances in account books and rectifying discrepancies
- Verifying bank deposits
- Managing day-to-day transactions
- Summarizes current financial status by collecting information;
- Preparing balance sheet, profit and loss statement, and other reports.
Asset Management Representative - Alain Zoo and Aquarium Public Intuition - Al Ain, UAE
(2017-08 - 2018-01)
- Asset Counting
- Asset Barcode Placement and Scan Barcode Using RF Scanner
- Asset Scanning and Uploading Details in Oracle Software
- Asset Mapping
Accountant cum Admin Assistant - Mohan and Sons Building Material Trading LLC - Dubai, UAE
(2015-05 - 2017-05)
- Day to day journal entries.
- Effective handling petty cash, IOU.
- Reconcile supplier and customer statements and accounts.
- Preparing aging reports and monthly AR reports.
- Handling of Accounts Receivables and General Accounting.
- Preparation of cheques on the basis of payment advice.
- Monitored general ledger to ensure integrity of data.
- Assisting for finalization of accounts and posting closing entries from my parts.
Assistant Branch Manager - ESAF Microfinance and Investment Pvt Ltd - India
(2012-12 - 2014-01)
- Managing the subordinates in the field aspect like forming JLG (Joint Liability Groups)
- Focusing on underprivileged women and BPL (Below Poverty Line) family women through subordinates, approving and providing Income Generation Loans to the JLGs.
- Monitoring and evaluating the subordinates for the proper maintenance of records in the field
- Utilization and collection of loan for the specified purpose by the Loaners
- Involved in manual documentation consists of accounting, maintaining records and registers pertaining to NBFC (Non-Banking Finance Corporation) concept as directed by the RBI.
- Involved in Software documentation part it consists of unique software named BR.Net software having the entire banking operations as specifically directed by the RBI regulations
Accountant - Medimetric Informatics - India
(2010-01 - 2012-12)
- Managing the passing of bill with purchase order and Booking (Including raw material bills, general consumables, capital bills, etc.)
- Handling accounting issues of Plant, Assets Capitalization and Expenses Transfer.
- Liaising with various departments like production, purchase & inspection department for the purpose of correct accounting and capitalization of expenses.
- Assisting Senior Manager for compiling TDS data for monthly payment and quarterly TDS return filing.
- Handling Internal and external audit and helping seniors in VAT and Excise Audit.