Jissa Elizabeth

Accountant at MedHub Medical Supplies, UAE
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Contact Information
us****@****om
(386) 825-5501
Location
Dubai, Dubai, United Arab Emirates, AE

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Experience

    • United Arab Emirates
    • Hospitals and Health Care
    • 1 - 100 Employee
    • Accountant
      • Jan 2021 - Present

      • Issue invoice and payment receipt to customers as needed. • Maintaining all accounts records and files. • Manage all accounts payable and receivables. • Make journal entries for purchase and sales. • Reconcile invoices and identify variations. • Processing petty cash reimbursement form. • Create and update expense reports. • Maintaining company ledgers and daily financial transactions. • Preparing quotations and purchase orders. • Preparing VAT returns. • Issue invoice and payment receipt to customers as needed. • Maintaining all accounts records and files. • Manage all accounts payable and receivables. • Make journal entries for purchase and sales. • Reconcile invoices and identify variations. • Processing petty cash reimbursement form. • Create and update expense reports. • Maintaining company ledgers and daily financial transactions. • Preparing quotations and purchase orders. • Preparing VAT returns.

    • United Arab Emirates
    • IT Services and IT Consulting
    • 1 - 100 Employee
    • Assistant Accountant
      • Jul 2019 - Dec 2019

      • Maintain day to day books of Accounts. • Maintain Bank Reconciliation Statement and Reconciliation of Debtors & Creditors. • Maintain Internal Audit: Store and Accounts Book, • Maintain Journal Entry Sale, Purchase & Exp Invoice, • Maintaining petty cash • Assist in tax filing • Ensuring that all cheques are received and distributed appropriately and on-time at the proper locations • Maintain day to day books of Accounts. • Maintain Bank Reconciliation Statement and Reconciliation of Debtors & Creditors. • Maintain Internal Audit: Store and Accounts Book, • Maintain Journal Entry Sale, Purchase & Exp Invoice, • Maintaining petty cash • Assist in tax filing • Ensuring that all cheques are received and distributed appropriately and on-time at the proper locations

    • Clerical Staff
      • Jun 2017 - Dec 2017

      • Handle customers and their financial transactions through bank clerical functions. • Serve as the primary point of contact to bank customers. • Answer and respond to bank customers’ inquiries on financial transactions. • Process and accept deposits and loan payments from bank customers. • Make payments to bank customers after checking and validating customer’s signatures on cheque. • Check the availability of funds before making payments to customers. • Educate customers on bank products and services Show less

Education

  • Mahatma Gandhi University
    Master's degree, Business/Commerce, General
    2013 - 2015
  • Mahatma Gandhi University
    Bachelor of Commerce - BCom, Business/Commerce, General
    2010 - 2013

Community

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