Documenti di Didattica
Documenti di Professioni
Documenti di Cultura
Finance & Accounts Manager with 12+ years of extensive and progressive work experience.
Expertise in analyzing financial data-patterns, accounts finalisation, internal auditing,
handling administration and management functions as team leader. Competent and
financially astute, utilising strengths and capabilities in finance & accounts towards
achievement of corporate goals and organisational objectives. Possess keen interest to work
in highly professional environment enabling usage of excellent analytical, problem solving,
people supervision, business planning, cost control, administration and management skills.
Strengths
Career Achievements
Career Snapshot
Capabilities
Financial Management
• Ability to spearhead team of professionals and prepare, review and analyse monthly
and annual computerized financial statements-audits.
• Capability to analyse business operations, trends, costs, revenues, financial
commitments and obligations, to project future revenues and expenses or to provide
advice.
• Manage financial planning, budgeting and project cost analysis; implement cost control
measures and liaise with bankers and auditors.
• Review budgets, control systems and cash flow statements.
• Examine and analyse accounting records, financial statements and other financial
reports to assess accuracy, completeness and conformance to reporting and procedural
standards.
• Develop financial forecast for capital budgeting, accounts receivables, payables, cost
accounting systems-procedures, fixed assets ledger and capital expenditure.
Manager (Accounts)
• Reporting directly to the Managing Director for financial position of the company.
• Prepare, examine, analyse accounting records, financial statements and finalize
accounts.
• Monitor all general ledgers accounts together with costing efforts and its supporting
transaction documents. Report to management regarding the finances of establishment.
• Reconcile bank statements and all general ledgers accounts (purchase, sales, creditors,
debtors & stock book) with cost and its supporting documents.
• Monitor cash flow. Liaise with banks, financial institutions; maintain rapport with same.
• Take care of accounts receivable follow up, prepare cash flow statements, customer-
vendor reconciliation statements & prepare MIS, final accounts such as Profit & Loss
Account and balance-sheet. Generate reports, assist auditors and report to management.
• Manage treasury functions and banking transactions including L/Cs and guarantees.
• Liaise with insurance companies and involve in trade and marketing activities.
• Handle import and export documentation and obtain necessary government
permissions along with shipping and custom norms.
• Follow up payments collection from debtors and payment to creditors.
• Prepare annual business plan and implementation. Manage and improve overall
relationship with account by creating network of contacts and raise the profile of company.
• Develop; implement document record keeping and accounting systems using
computers.
IT Skills
Customized Accounting Package, MS Office (Word & Excel), Internet and E-mail applications
Personal Details
Nationality : Indian
Date of Birth : 16th June 1973
Marital Status : Married
Visa Status : Employment
Languages : English, Hindi, Tamil & Malayalam
References
1. Mr. Shiva Nair, Manager (Accounts), Honest Textiles, Dubai, United Arab Emirates
2. Mr. Mohan, Manager (Accounts), Avon Textile, Dubai, United Arab Emirates