Irshad Mukadam
Accounts at AviLease- Claim this Profile
Click to upgrade to our gold package
for the full feature experience.
-
English -
-
Hindi -
-
Marathi -
Topline Score
Bio
0
/5.0 / Based on 0 ratingsFilter reviews by:
Experience
-
AviLease
-
Saudi Arabia
-
Airlines and Aviation
-
1 - 100 Employee
-
Accounts
-
Feb 2023 - Present
-
-
-
ALAFCO Aviation Lease and Finance Company
-
Aviation and Aerospace Component Manufacturing
-
1 - 100 Employee
-
Manager Accounts
-
Sep 2008 - Feb 2023
-
-
Assistant Manager Accounts
-
Sep 2008 - May 2022
-
-
Accounts Officer
-
Sep 2008 - May 2022
Managing portfolio of 10 Aircraft. (Millennium Aircraft Leasing Co. Ltd.)Calculation of Investment Return.Managing Consignment Sale of Aircraft.Co-ordinate portfolio Sale and Closing of Aircraft.Maintaining Track of Letter of Credit.Daily Receipts and Payments.Petty Cash.Salary calculation.Credit card reconciliation and Duty calculation.Bank Reconciliation. Preparation of Rental Invoices as per agreements.Preparation of Maintenance Reserve Invoices and Escalation.Preparation of Audit Schedule and Co-ordinate Quarterly and Annual Audit.Finalization of Accounts.Budget and Projection Show less
-
-
-
-
Accountant
-
Oct 2006 - Sep 2008
Work Responsibilities Daily reconciliation of cash and non-cash balances between Exchange Management and Operating System (EMOS) & Financial Information Management System (FIMS). Preparation of daily report and Profitability report of Corporate Transactions using Business Objects. Daily reconciliation of non-cash balances (comprising of knet, cheque and bank transfers) of each branch. Bank Reconciliation of Local Banks. SBI & SBT weekly audit report. Checking the Letter of Representation (LOR) prepared by the auditor. Cancelled DD audit. Preparation of LPO. FX Gain calculation Show less
-
-
-
-
Accountant
-
Oct 2005 - Jul 2006
To maintain Petty Cash, Monthly Salary. Maintaining Expenses and Disbursal Payments. Other Data Entry Work. Maintaining fund Statements. Preparation of Bank Reconciliation Statement. To maintain Petty Cash, Monthly Salary. Maintaining Expenses and Disbursal Payments. Other Data Entry Work. Maintaining fund Statements. Preparation of Bank Reconciliation Statement.
-
-
-
Ehtesham & Co
-
Bangladesh
-
Wholesale Building Materials
-
Accountant
-
Jun 2004 - Sep 2005
To maintain all Purchase, Sales, Bank Book, Cash Book, Ledger, as will as Petty Cash. Submission of Outstanding details to the Appellate Authorities. Maintaining Expenses. Assisted in Statutory Audits at junior level. Other Data Entry Work Preparation of Statements required for Audit purpose. Filing returns to Government. Preparation of Bank Reconciliation Statement. Finalization of Accounts To maintain all Purchase, Sales, Bank Book, Cash Book, Ledger, as will as Petty Cash. Submission of Outstanding details to the Appellate Authorities. Maintaining Expenses. Assisted in Statutory Audits at junior level. Other Data Entry Work Preparation of Statements required for Audit purpose. Filing returns to Government. Preparation of Bank Reconciliation Statement. Finalization of Accounts
-
-
Education
-
Mumbai University, India
B.Com, Accounting -
Kazian School Of Management
Chartered finance manager, Accounting and Finance -
Hume High School - Mumbai