D. Sampath Priyadharshana
Senior AccountantMonthly and Annual closing of Financial books.
Preparation of Financial Statement
Conducted review and reconciliations of (i.e. accrued liabilities, prepayments, capital in progress, depreciation generation, bank reconciliation, subcontract advance payment, retention payables, fixed assets ) on a monthly basis
Intercompany & Joint Venture reconciliations
Approving the Internal Debit Note & Credit Note
Accounts Payable
Ensured invoices are accounted on time, processing monthly payables as per the credit terms, liaising with suppliers and internal departments for accounting, processing, and payment related queries
Checked reconciliation of suppliers accounts on a quarterly basis
Approving the supplier payment & Petty Cash payment vouchers.
Approval of payroll related journal vouchers
Accounts Receivable
Issuing the Tax Invoices to customers
Preparation of Income and Debtors analysis report & reconciliation
Follow up the overdue debit balance
Banking, Auditing & Taxation
Preparation of monthly project cash flow and review of daily cash flow to ensure that sufficient funds are available to meet on-going operational and capital investment requirements
Liaising with Banks for arranging the bank guarantees, trust receipt loan
Manage the Annual Audit for Joint Ventures & Head office
Coordinate with Internal Auditor
Managing tax compliance, including filing
Last Resume Update | April 18, 2019 |
Address | Dubai, United Arab Emirates |
diyawala@gmail.com | |
Phone Number | 00971502758132 |
Experience
Senior Accountant
Monthly and Annual closing of Financial books.
Preparation of Financial Statement
Conducted review and reconciliations of (i.e. accrued liabilities, prepayments, capital in progress, depreciation generation, bank reconciliation, subcontract advance payment, retention payables, fixed assets ) on a monthly basis
Intercompany & Joint Venture reconciliations
Approving the Internal Debit Note & Credit Note
Accounts Payable
Ensured invoices are accounted on time, processing monthly payables as per the credit terms, liaised with suppliers and internal departments for accounting, processing and payment related queries
Checked reconciliation of suppliers accounts on quarterly basis
Approving the supplier payment & Petty Cash payment vouchers.
Approval of payroll related journal vouchers
Accounts Receivable
Issuing the Tax Invoices to customers
Preparation of Income and Debtors analysis report & reconciliation
Follow up the overdue debit balance
Banking ,Auditing & Taxation
Preparation of monthly project cash flow and review of daily cash flow to ensure that sufficient funds are available to meet on-going operational and capital investment requirements
Liaising with Banks for arranging the bank guarantees, trust receipt loan
Manage the Annual Audit for Joint Ventures & Head office
Coordinate with Internal Auditor
Managing tax compliance, including filing and payment of VAT returns
Accountant cum Administration officer
Review the Financial Report such as balance sheet, income statement, Cash flow Statement, profitability report for each department
Preparation of investment appraisal
Review Sales & plant department operation
Implemented ERP system in finance department
Audit Trainee
Auditing experience in financial institutes, Construction and Engineering, Trading, Manufacturing, Plantation, Government Institutes.
Preparation of Financial Report and Tax Computation
Verification of payment & expenses vouchers
Education
Infromation Technology
B.Sc. Business Administration (Special) Degree
C.A Intermediate Level
AAT