Thujesh Prabhakaran

Working as an Asst. Accounts Manager

You will find in me an energetic, highly talented, young and productive Accounts Professional with overall 14 years of UAE working experience as an innovative accounting professional in multi-cultural environments for multinational companies. I am a good team player with excellent interpersonal skills. I am seeking a challenging position in the Accounts department with a dynamic organization that will allow growth into a position of broader responsibility. I am analytical and organized, with the ability to identify needs and implement effective solutions. I can also work equally well on an independent basis, or in a leadership capacity, motivating & supervising others.

Last Resume Update April 27, 2019
Address Deira, United Arab Emirates
E-mail thujuu@yahoo.co.in
Phone Number 0508451304

Experience

1. MULTILINK CONTRACTING LLC
Asst. Accounts Manager
Feb 2017 - Current

 Preparation of final accounts and budgets, Spearhead Credit Control team and serve as main point of contact on all credit-related matters. Enforce strict control on credit; work closely with other departments on impact of credit control. Analyze business operations, financial performance, obligations to provide expert advice and determine debtor business relationships.
 Active involvement in payroll disbursement through Wage Protection System (WPS).
 Monitoring rolling cash flows forecasts on regular basis and taking positive corrective measures to adhere in line with available credit lines.
 Regular review of product costing, cost allocation and variance analysis.
 Engagement of management involving effective planning and co-ordination of work and efficient utilization of resources to meet specific deadlines, supervision and review of work performed and training and motivation of team members.
 Proper evaluation of internal controls and business processes, identifying control deficiencies, providing appropriate recommendations to client management and devising key internal controls aiming to improve business efficiency.
 Assisting clients in preparation of financial statements and disclosures in accordance with the existing and updated requirements of IFRS, corporate laws, listing regulations and other directives issued by regulatory authorities.
 Provided timely MIS for the Management to take appropriate and timely financial decisions based on the feedback provided.

2. EMIRATES CONTRACTING TRADING & GENERAL SERVICE ESTABLISHMENT LLC
Chief Accountant
Jan 2010 - Jan 2017

Financial Report
:Preparation of Trial balance (with supporting schedules), Profit and loss statement, Balance sheet and management Reports
Cash Flow Analysis : Plan and supervise flow of treasury operations using dynamic cash planning to ensure judicious use of credit lines to optimize cash flows. Close watch on inflow of funds and scheduling the payments to avoid any uncertain conditions.
Accounts Payables : Ensuring data input are correctly coded to credit terms and procedures. Checking invoices with their P/I, Packing list, B/L. Scheduling & Monitoring PDC’s, Trade Finance payments. Accordingly scheduling the payments
Accounts Receivable : Monitoring & Liaison with customer regarding non payments, delayed payments and other irregularities. Monitoring Documents on collection, Acceptance, Usance L/C based on maturity. Reviewing, controlling customers credit limit, receivables etc.
Bank Reconciliation : Ensuring bank entries are systematically & accurately entered in the system with correct G/L & Cost Code. Reconciling the bank on weekly basis & report to the finance manager.
Trade Finance : Import L/C: Trust Receipt / LAD LOAN
Export L/C: Negotiation, Discounting, Collection Documents, Acceptance,
Cheque / Bill Discounting, Exchange cheques, Monitoring Bank facility utilization, Bank Guarantees (Letter of Guarantee) [Performance Guarantee, Advance Payment Guarantee and Labor Guarantee].
Tax : Submission of returns, assessment and collection of tax and penalty.
Good knowledge of filing Service Tax and Income Tax Returns. Handling the requirements of deduction under Income Tax and Service Tax Laws as per Statutory Compliance / Regulations. Computing & arranging for timely deposit of taxes, filing of returns for timely completion and ensuring Statutory Compliance.
Management Report : Preparation of the reports like Cash flow, Bank facility utilization, Monthly & Weekly collection forecast, Monthly debtors age analysis, Sales & Customer wise analysis report, Advance payment schedule, Usance L/C maturity & collection,
Balance Sheet Schedule : Preparation of balance sheet schedules like prepayments, accruals, depreciation & gratuity.
Liaison with auditors

:
Coordination with external auditors in planning and finalization phase of audit. Being a part of the auditing process and providing all the required documents. Coordination and meeting with client top management at the planning and finalization stage of audit.
Communicating with bank for different matters like fund transfer, Forex currency rate negotiation, trade finance, any issues related to the company accounts, opening accounts for staff / company etc.
General : Preparation of all aspects of accounting entries, General Ledgers, Monthly closing entries. Ensure reconciliation of all sub ledgers & General ledger is performed on regular basis. Ensuring accurate accounting of transactions and finalizing book of accounts including monthly, quarterly and yearly on time closing of book of accounts. Measuring organizations’ function by producing MIS reports on various financial parameters, WIP Reports, WIP analysis report (Department wise) and cost reports for each projects.
Miscellaneous

: Invoice approval, Preparation of budgets and financial forecasting as well as monitoring progress against budget. Controlling expenses in alignment with the set budget and developing monthly expense report. Pass Periodical adjustment Journal Entries monthly & Calculating Depreciation for each month. Monthly Staff Cost Calculations (payroll, provision for leave salary, gratuity, air passage & provisions to pension fund)

3. PURE METAL COMPANY LLC
Senior Accountant
Mar 2004 - Dec 2009

Financial Report
:Preparation of Trial balance (with supporting schedules), Profit and loss statement, Balance sheet and management Reports
Cash Flow Analysis : Plan and supervise flow of treasury operations using dynamic cash planning to ensure judicious use of credit lines to optimize cash flows. Close watch on inflow of funds and scheduling the payments to avoid any uncertain conditions.
Accounts Payables : Ensuring data input are correctly coded to credit terms and procedures. Checking invoices with their P/I, Packing list, B/L. Scheduling & Monitoring PDC’s, Trade Finance payments. Accordingly scheduling the payments
Accounts Receivable : Monitoring & Liaison with customer regarding non payments, delayed payments and other irregularities. Monitoring Documents on collection, Acceptance, Usance L/C based on maturity. Reviewing, controlling customers credit limit, receivables etc.
Bank Reconciliation : Ensuring bank entries are systematically & accurately entered in the system with correct G/L & Cost Code. Reconciling the bank on weekly basis & report to the finance manager.
Trade Finance : Import L/C: Trust Receipt / LAD LOAN
Export L/C: Negotiation, Discounting, Collection Documents, Acceptance,
Cheque / Bill Discounting, Exchange cheques, Monitoring Bank facility utilization, Bank Guarantees (Letter of Guarantee) [Performance Guarantee, Advance Payment Guarantee and Labor Guarantee].
Tax : Submission of returns, assessment and collection of tax and penalty.
Good knowledge of filing Service Tax and Income Tax Returns. Handling the requirements of deduction under Income Tax and Service Tax Laws as per Statutory Compliance / Regulations. Computing & arranging for timely deposit of taxes, filing of returns for timely completion and ensuring Statutory Compliance.
Management Report : Preparation of the reports like Cash flow, Bank facility utilization, Monthly & Weekly collection forecast, Monthly debtors age analysis, Sales & Customer wise analysis report, Advance payment schedule, Usance L/C maturity & collection,
Balance Sheet Schedule : Preparation of balance sheet schedules like prepayments, accruals, depreciation & gratuity.
Liaison with auditors

:
Coordination with external auditors in planning and finalization phase of audit. Being a part of the auditing process and providing all the required documents. Coordination and meeting with client top management at the planning and finalization stage of audit.
Communicating with bank for different matters like fund transfer, Forex currency rate negotiation, trade finance, any issues related to the company accounts, opening accounts for staff / company etc.
General : Preparation of all aspects of accounting entries, General Ledgers, Monthly closing entries. Ensure reconciliation of all sub ledgers & General ledger is performed on regular basis. Ensuring accurate accounting of transactions and finalizing book of accounts including monthly, quarterly and yearly on time closing of book of accounts. Measuring organizations’ function by producing MIS reports on various financial parameters, WIP Reports, WIP analysis report (Department wise) and cost reports for each projects.
Miscellaneous

: Invoice approval, Preparation of budgets and financial forecasting as well as monitoring progress against budget. Controlling expenses in alignment with the set budget and developing monthly expense report. Pass Periodical adjustment Journal Entries monthly & Calculating Depreciation for each month. Monthly Staff Cost Calculations (payroll, provision for leave salary, gratuity, air passage & provisions to pension fund)

Education

Calicut University
MBA
Apr 2004 - Mar 2006

Fianance

Calicut University
M.com
Apr 2002 - Mar 2004

Finance

Calicut University
B.com
Mar 1998 - Apr 2001

Commerce

Contact Candidate