SlideShare a Scribd company logo
1 of 4
I.RAJASHEKHAR
Email: rajashekar.ireni@live.com
Mobile: 0568573909
OBJECTIVE:
To work in a challenging environment that best utilizes the knowledge and skills
acquired by me in the field of Finance, Accounting and Audit and provide me an
opportunity to contribute positively towards the organization’s goal.
ACADAMIC QUALIFICATIONS:
• B.com (computers) Degree from Osmania University.
• Pursuing ICWAI.
PROFESSIONAL EXPERIENCE:
TOTAL 5.9 YEARS OF EXPERIENCE IN ACCOUNTS & AUDIT
RAMEE GROUP OF HOTELS AND RESORTS - DUBAI (U.A.E)
CHIEF ACCOUNTANT
September-2015 to Till
• Controlling the payroll.
• Producing accurate set of month-end accounts, with comparisons and previous
periods.
• Preparing profit and loss account and balance sheet for senior management.
• Chasing late payments, reporting bad debts to management.
• Responsible for day to day finance and accounts operations.
• Daily revenue report and MIS report.
• Preparing Bank Reconciliation and Credit Card Reconciliations.
• Handling, Recording and Reconciliation of Petty cash transactions.
• Maintaining utility bill payments on time.
• Maintaining PDC cheques and deposit into bank as per date.
AL SAEEDI AUTOMOTIVE TRADING COMPANY L.L.C-DUBAI (U.A.E)
ACCOUNTS EXECUTIVE
September-2013 to April-2015 (1 year 7 months)
Receivables:
• Preparing Invoices & Follow up to client for payment received.
• Monitor customer account details for non-payments, delayed payments and
other irregularities
• Preparing and maintaining customer’s monthly reconciliation schedules.
• Preparation of Credit Note.
• Daily cash sale profitability report preparation.
• Processing Cash Sale Receipt and Credit Sale Receipt.
• Preparing Cash Sale Reconciliation & Bank Reconciliation.
• Credit Card Reconciliation.
• Prepare cheques, monitor collections and review Bank Account Statements on
a daily basis.
• Timely processing and correct allocation of all cash receipts and payments.
Payables:
• Process all purchases (supplier invoices) and refunds (debit notes).
• Day to Day purchase bills verification as per the order.
• Preparation & posting of payments for all suppliers including administrative
payments.
• Reconciliation of suppliers Ledgers with supplier's SOAs.
• Deal with supplier account queries via telephone, email and fax and resolve queries
promptly.
• Assist purchase department, month end closing and year end closing.
• Process all the supplier payments in time on monthly basis.
• Set-up and maintain supplier accounts, confirming the quarter end balance.
• Preparation of import payments (T.T)
• Handling, Recording and Reconciliation of Petty cash transactions.
• Assist with Finance controller in preparing intercompany charges schedules and
invoices.
NATUR LABS, HYDERABAD - INDIA
ACCOUNTANT
December’12 to August’2013 (9 months)
• Maintaining cash and bank books.
• Coordinated monthly payroll functions for 80+ employees.
• Administered online banking functions and maintaining bank related works.
• Prepared accounts and tax calculation annual audit.
• Prepared weekly sales report for presentation to management.
• Maintaining accounts in Tally.
• Preparing daily status report of Creditors & Debtors.
A.P PAPER MERCHANT ASSOCIATION PVT LTD, HYDERABAD - INDIA
ACCOUNTS ASSISTANT
Dec’2010 to Nov’2012 (1 year 11 months)
• Assisting the Accounts manager in variety of business tools.
• Handling Petty cash.
• Reconciling petty cash and bank statements by comparing statements with
general ledger,
• Maintaining Daily Cash report and Bank reports.
• Maintaining accounting records by making copies, filing documents.
• Raising orders for cash purchase and arranging payment.
• Service tax and VAT calculation.
PASURA LIFE SCIENCE PVT LTD, HYDERABAD – INDIA
AUDIT ASSISTANT
August 2009 to Nov-2010 (1 year 3 months)
• Provide significant help and support to seniors for internal controls.
• Excecute audit assistant functions to check the accuracy of accounting
systems.
• Check, inspect and reconcile bank deposits and payments.
• Verify and inspect accounts payable and receivable ledgers for its accuracy.
• Review and recommend changes in internal audit controls.
• Preparation of MIS Reports.
COMPUTER PROFICIENCY:
• Accounting Packages – Tally 7.2, Tally 9, Tally ERP9, FALCON and
Basic knowledge of Oracle.
PERSONAL DETAILS:
Date of birth : 20-08-1988
Sex : Male
Marital Status : Single
Languages Known : English, Telugu, Hindi and Malayalam
Religion : Hindu
Nationality : India
Passport number : L4104478
Visa type : Employment visa
The above mentioned is true to the best of my Knowledge and I request
to give an opportunity to serve your esteemed organization in the capacity
mentioned above for which act of kindness, I shall be very thankful to you.
Date: (Rajashekhar.I)

More Related Content

What's hot (20)

CV
CVCV
CV
 
Saneesh_CV
Saneesh_CVSaneesh_CV
Saneesh_CV
 
CURRICULUM VITAE nester Maramba
CURRICULUM VITAE nester MarambaCURRICULUM VITAE nester Maramba
CURRICULUM VITAE nester Maramba
 
DILUM -.doc.doc
DILUM -.doc.docDILUM -.doc.doc
DILUM -.doc.doc
 
Naresh
NareshNaresh
Naresh
 
Atiqul_Islam_CV
Atiqul_Islam_CVAtiqul_Islam_CV
Atiqul_Islam_CV
 
Riaz
RiazRiaz
Riaz
 
CV
CVCV
CV
 
Resume - GS-1-new
Resume - GS-1-newResume - GS-1-new
Resume - GS-1-new
 
Resume updated-21.08
Resume updated-21.08Resume updated-21.08
Resume updated-21.08
 
Hammad Hassan resume
Hammad Hassan resumeHammad Hassan resume
Hammad Hassan resume
 
Sandeep Resume
Sandeep ResumeSandeep Resume
Sandeep Resume
 
LIEW SIOU NEE
LIEW SIOU NEELIEW SIOU NEE
LIEW SIOU NEE
 
Harati_Resume
Harati_ResumeHarati_Resume
Harati_Resume
 
Ahmad bilal ibrahimi update cv1111
Ahmad bilal ibrahimi update cv1111Ahmad bilal ibrahimi update cv1111
Ahmad bilal ibrahimi update cv1111
 
AHMED HASHIM MBA-JF
AHMED HASHIM MBA-JFAHMED HASHIM MBA-JF
AHMED HASHIM MBA-JF
 
CV- Jhomelyn 2016
CV- Jhomelyn 2016CV- Jhomelyn 2016
CV- Jhomelyn 2016
 
Resume Shiv
Resume ShivResume Shiv
Resume Shiv
 
Muhammed mosilhy C.V1 - chief accountant
Muhammed mosilhy C.V1 - chief accountantMuhammed mosilhy C.V1 - chief accountant
Muhammed mosilhy C.V1 - chief accountant
 
Louanne_CV (1)
Louanne_CV (1)Louanne_CV (1)
Louanne_CV (1)
 

Similar to CV updated (20)

Resume
ResumeResume
Resume
 
Sachi_Resume
Sachi_Resume Sachi_Resume
Sachi_Resume
 
Ravi_CV
Ravi_CVRavi_CV
Ravi_CV
 
Imran hasan Resume
Imran hasan ResumeImran hasan Resume
Imran hasan Resume
 
Selvam Resume
Selvam ResumeSelvam Resume
Selvam Resume
 
Resume
ResumeResume
Resume
 
M shoaib sultan cv
M shoaib sultan cvM shoaib sultan cv
M shoaib sultan cv
 
Jiya-CV-23012017
Jiya-CV-23012017Jiya-CV-23012017
Jiya-CV-23012017
 
JenneferAbarca CV
JenneferAbarca CVJenneferAbarca CV
JenneferAbarca CV
 
Resume(1)
Resume(1)Resume(1)
Resume(1)
 
Satiswar V Resume
Satiswar V ResumeSatiswar V Resume
Satiswar V Resume
 
Resume Nitin
Resume NitinResume Nitin
Resume Nitin
 
Falguni - Accountant
Falguni - AccountantFalguni - Accountant
Falguni - Accountant
 
vipin resume visual
vipin resume visualvipin resume visual
vipin resume visual
 
NIZAR AHMED - CV-2016 Update
NIZAR AHMED - CV-2016 UpdateNIZAR AHMED - CV-2016 Update
NIZAR AHMED - CV-2016 Update
 
Accounts & Finance Acc2
Accounts & Finance Acc2Accounts & Finance Acc2
Accounts & Finance Acc2
 
Mark vincent advento cv
Mark vincent advento   cvMark vincent advento   cv
Mark vincent advento cv
 
Khasim CV 2016
Khasim CV 2016Khasim CV 2016
Khasim CV 2016
 
Shafim-CV
Shafim-CVShafim-CV
Shafim-CV
 
Resume
ResumeResume
Resume
 

CV updated

  • 1. I.RAJASHEKHAR Email: rajashekar.ireni@live.com Mobile: 0568573909 OBJECTIVE: To work in a challenging environment that best utilizes the knowledge and skills acquired by me in the field of Finance, Accounting and Audit and provide me an opportunity to contribute positively towards the organization’s goal. ACADAMIC QUALIFICATIONS: • B.com (computers) Degree from Osmania University. • Pursuing ICWAI. PROFESSIONAL EXPERIENCE: TOTAL 5.9 YEARS OF EXPERIENCE IN ACCOUNTS & AUDIT RAMEE GROUP OF HOTELS AND RESORTS - DUBAI (U.A.E) CHIEF ACCOUNTANT September-2015 to Till • Controlling the payroll. • Producing accurate set of month-end accounts, with comparisons and previous periods. • Preparing profit and loss account and balance sheet for senior management. • Chasing late payments, reporting bad debts to management. • Responsible for day to day finance and accounts operations. • Daily revenue report and MIS report. • Preparing Bank Reconciliation and Credit Card Reconciliations. • Handling, Recording and Reconciliation of Petty cash transactions. • Maintaining utility bill payments on time. • Maintaining PDC cheques and deposit into bank as per date.
  • 2. AL SAEEDI AUTOMOTIVE TRADING COMPANY L.L.C-DUBAI (U.A.E) ACCOUNTS EXECUTIVE September-2013 to April-2015 (1 year 7 months) Receivables: • Preparing Invoices & Follow up to client for payment received. • Monitor customer account details for non-payments, delayed payments and other irregularities • Preparing and maintaining customer’s monthly reconciliation schedules. • Preparation of Credit Note. • Daily cash sale profitability report preparation. • Processing Cash Sale Receipt and Credit Sale Receipt. • Preparing Cash Sale Reconciliation & Bank Reconciliation. • Credit Card Reconciliation. • Prepare cheques, monitor collections and review Bank Account Statements on a daily basis. • Timely processing and correct allocation of all cash receipts and payments. Payables: • Process all purchases (supplier invoices) and refunds (debit notes). • Day to Day purchase bills verification as per the order. • Preparation & posting of payments for all suppliers including administrative payments. • Reconciliation of suppliers Ledgers with supplier's SOAs. • Deal with supplier account queries via telephone, email and fax and resolve queries promptly. • Assist purchase department, month end closing and year end closing. • Process all the supplier payments in time on monthly basis. • Set-up and maintain supplier accounts, confirming the quarter end balance. • Preparation of import payments (T.T) • Handling, Recording and Reconciliation of Petty cash transactions. • Assist with Finance controller in preparing intercompany charges schedules and invoices. NATUR LABS, HYDERABAD - INDIA ACCOUNTANT December’12 to August’2013 (9 months) • Maintaining cash and bank books. • Coordinated monthly payroll functions for 80+ employees. • Administered online banking functions and maintaining bank related works. • Prepared accounts and tax calculation annual audit.
  • 3. • Prepared weekly sales report for presentation to management. • Maintaining accounts in Tally. • Preparing daily status report of Creditors & Debtors. A.P PAPER MERCHANT ASSOCIATION PVT LTD, HYDERABAD - INDIA ACCOUNTS ASSISTANT Dec’2010 to Nov’2012 (1 year 11 months) • Assisting the Accounts manager in variety of business tools. • Handling Petty cash. • Reconciling petty cash and bank statements by comparing statements with general ledger, • Maintaining Daily Cash report and Bank reports. • Maintaining accounting records by making copies, filing documents. • Raising orders for cash purchase and arranging payment. • Service tax and VAT calculation. PASURA LIFE SCIENCE PVT LTD, HYDERABAD – INDIA AUDIT ASSISTANT August 2009 to Nov-2010 (1 year 3 months) • Provide significant help and support to seniors for internal controls. • Excecute audit assistant functions to check the accuracy of accounting systems. • Check, inspect and reconcile bank deposits and payments. • Verify and inspect accounts payable and receivable ledgers for its accuracy. • Review and recommend changes in internal audit controls. • Preparation of MIS Reports. COMPUTER PROFICIENCY: • Accounting Packages – Tally 7.2, Tally 9, Tally ERP9, FALCON and Basic knowledge of Oracle. PERSONAL DETAILS: Date of birth : 20-08-1988 Sex : Male Marital Status : Single Languages Known : English, Telugu, Hindi and Malayalam Religion : Hindu Nationality : India Passport number : L4104478 Visa type : Employment visa The above mentioned is true to the best of my Knowledge and I request to give an opportunity to serve your esteemed organization in the capacity mentioned above for which act of kindness, I shall be very thankful to you.