Egypt Zones accountACCOUNT

Dy Manager (Accounts & Administration ) with more than five years of Experence in Core Construction Projects


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Education: 5
Experience: 5 years
Relocation: Yes - Internationally

Industry Experience
5 years Other

Career Objective

To learn & To grow

Professional Experience

Total work Experience : 4 Year and 7 month in Core Construction Projects

Present Employer: PEERAJ GROUP OF COMPANIES (DUBAI BASSED MNC)
Period of Association: 4th July’2008 to Present

Previous Employer: LARSEN & TOUBRO LIMITED; ECC DIVISION (Indian MNC)
Period of Association: 2nd Feb’2004 to 30th June’2008.

Eductation


Academic Qualification

Sl. No. Year of Passing Standard Board/University % of Marks Division
1. 2004 M.Com M.D.U. Rohtak 61% First
2. 2002 B.Com M.D.U. Rohtak 61% First
3. 1999 Sr. Sec C.B.S.E. Delhi 62% First

Professional Qualification : MBA (Finance)Year 2008

Additional Information

4th July’2008 to Present:- at Peeraj Group of Companies – (Dubai bassed MNC)
Deputy Manager (Accounts & Administration) at Kenya Project.

Project Details:
Project Name: Electrical & piping package for 34 MW CO-GEN Plant. At Kenya.
Client Name:- Mumias Sugar Company,Mumias, Kenya
Funded by:- Mumias Sugar Company,Mumias, Kenya
Project Value:- 9 Million USD
Duration of Project: 8 months
Designation: Deputy Manager (Accounts & Administration)-Project.
Location: Mumias, Kenya

Job Profile:-
Commercial Operations (Import & Export):
Establishing Letters of Credit (L/C), Advance Remittances, Advance License Route & Vetting of necessary commercial documents. Managing day-to-day supplier performance to ensure meeting of service, cost, delivery and quality norms
Co-ordinating for Customs Clearance, export matters & liaison with various authorities, shipping companies and other external agencies for various clearances / approvals.

Accounts & Costing:
Making all kind of payments, for duly checked & authorized vouchers as per fixed time & schedule.
Preparing & maintaining corporate books of accounts, ledgers, trial balance sheet, fixed assets and reconciliation of financial statements in compliance with the statutory norms.
Daily Approval of Cash, Bank, JV’s and coordinating in the preparing and maintaining of P&L Account and Balance Sheet.
Maintaining Bank and Parties Reconciliation Statement
Timely settlement of IOUs

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