Dynamic Senior Accountant with extensive experience at Emirates Airlines, excelling in financial reporting and cash flow analysis. Proven track record in streamlining month-end closing processes, enhancing accuracy, and supporting audit initiatives. Adept at fostering collaboration and driving strategic financial planning to achieve organizational goals.
· Developing, recommending, and directing all short-term and long-range financial plans to control business units better. Exploring profitable opportunities and reworking the finance models to achieve organizational objectives.
· Directing all financial operations to ensure corporate financial data is as accurate and timely as possible, cash and assets are maximized, and accounting systems are reliable and efficiently implemented.
· Effectively looking after cash flow, accounts, and other financial transactions.
· Accountable for recording financial transactions as per the accounting policies, preparing and maintaining a statutory book of accounts, reconciliation, etc. and finalizing arrangements, preparation of financial statement (interim & end of the period).
· Successfully assessing the financial climate and market trends to assist senior executives in creating strategic plans for the future; interpreting detailed financial information and provide updates and information as needed.
· Making sure that all of the Company's financial practices are in line with statutory regulations and legislation.
· Developing periodical cost variance analysis and profit variance analysis report for the budgetary control; supporting Finance Manager in Accounts Payable and Receivables.
· Assessing revenue and expenditure trends and recommend appropriate budget levels and ensure expenditure control.
· Supporting the Finance Manager in preparation of the financial budget for the Company.
· Inspecting bank transactions, bank reconciliation, and treasury management.
· Developing, recommending, and directing all short-term and long-range financial plans to control business units better. Exploring profitable opportunities and reworking the finance models to achieve organizational objectives.
· Directing all financial operations to ensure corporate financial data is as accurate and timely as possible, cash and assets are maximized, and accounting systems are reliable and efficiently implemented.
· Effectively looking after cash flow, accounts, and other financial transactions.
· Accountable for recording financial transactions as per the accounting policies, preparing and maintaining a statutory book of accounts, reconciliation, etc. and finalizing arrangements, preparation of financial statement (interim & end of the period).
· Successfully assessing the financial climate and market trends to assist senior executives in creating strategic plans for the future; interpreting detailed financial information and provide updates and information as needed.
· Making sure that all of the Company's financial practices are in line with statutory regulations and legislation.
· Developing periodical cost variance analysis and profit variance analysis report for the budgetary control; supporting Finance Manager in Accounts Payable and Receivables.
· Assessing revenue and expenditure trends and recommend appropriate budget levels and ensure expenditure control.
· Supporting the Finance Manager in preparation of the financial budget for the Company.
· Inspecting bank transactions, bank reconciliation, and treasury management.
· Led the recruitment of agents for selling the financial products like equity and debt mutual funds.
· Coordinated with brokers like CARVY, Geojit, Motilal Oswal etc.
· Imparted training and development for the agents etc.
· Actively involved in financial product selling.
Financial Reporting
Payroll Management
Treasury Management
Audit Support
Month-end closing
Financial statement preparation
Account Payables and Receivables
Cash Flow Analysis