pauras shah
Licensed Realtor at Drehomes Real Estate- Claim this Profile
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English, Hindi & Gujarati Full professional proficiency
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Bio
Experience
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Drehomes Real Estate
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United Arab Emirates
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Real Estate
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1 - 100 Employee
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Licensed Realtor
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Dec 2022 - Present
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Synergy.Properties
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United Arab Emirates
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Real Estate
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1 - 100 Employee
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Client Manager
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May 2017 - May 2021
• Contact potential clients through calls, emails, etc. to offer them property consultancy services • Prepare and present business proposals to convince clients and secure a consulting deal • Monitor the property market to watch out for new and old properties up for sale • Put properties up for sale and lease by advertising them on various media and advert channels • Build and establish a good working relationship with legal counsels and other consulting professionals to exchange ideas and expand personal network • Evaluate the objectives of an investor to identify their needs and requirements • Give clients recommendations and advice on appropriate property investments to make • Maintain a database of commercial, industrial, and residential properties available on the property market Show less
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Nawara Properties LLC
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Dubai, United Arab Emirates
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Client Manager & Financial Accountant
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Mar 2014 - Apr 2017
• Bookkeeping, bank reconciliation, cash management, month end closing, accruals and prepayments, Forex exchange payments, debt recovery etc • Compile and analyze financial data and prepare income statement & balance sheet • Dispatch of cheques and safe keeping of cheques • Ensure all the tenancy contracts legally bind & verified tenants’ profile • Tenants move in & move out process, renewal process and release tenant’s deposit on move out • • • Collecting rental cheques & rental commission and process for Ejari • Posting rents, maintenance expenses, agency fees to LL’s account and processed payments to LL’s and contractors • Dealing with landlords’ queries - i.e. refund float, transfer deposit, refund overcharged letting fees, issue credit notes and debit note • Preparing and releasing Cheques for sellers/developers for Residential & Commercial Sales • Register a police case for the bounced cheque and follow up with the RERA court Show less
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Marsh & Parsons
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United Kingdom
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Real Estate
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200 - 300 Employee
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Client Project Accountant
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Jun 2012 - Oct 2013
• Transferring data from one system to another and reconcile data including trial balance, year-end closing balance and opening balance, P&L items, and balance sheet items • Closely work with the finance manager to transfer data to the new system • Training on the new software to the finance team to record the data correctly • Transferring data from one system to another and reconcile data including trial balance, year-end closing balance and opening balance, P&L items, and balance sheet items • Closely work with the finance manager to transfer data to the new system • Training on the new software to the finance team to record the data correctly
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Northfields Estates Ltd
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United Kingdom
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Leasing Real Estate
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1 - 100 Employee
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Lettings Management Accountant
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Feb 2010 - May 2012
• Compile and prepare commission reports of all branch managers and their sales team in accordance with commission structure • Review and analysis branch revenues and managers performance on sales, letting and management and compile the information in the report for the board • KPI report and ROI report for the different portfolios for the submission to the board • Review on the letting & management fees by liaising with the branch and portfolio managers • Closely work with the branch managers, portfolio managers and the board to clear any issues Show less
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The Investment Advisory Real Team
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United States
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Real Estate
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Client Accountant
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Jan 2008 - Dec 2009
• Posting rents, maintenance expenses, agency fees to LL’s account and processed payments to LL’s and contractors • Dealing with landlords’ queries - i.e. refund float, transfer deposit, refund overcharged letting fees, issue credit notes and debit note • Posting contractor invoices, reconcile with their statements and processed for payments • Monitoring on LL statement & petty cash float statement & contractor payments • Dealing with tenants’ queries - refund overpayment of deposit and rent Show less
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Higearltd
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United Kingdom
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1 - 100 Employee
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Financial Accountant
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Mar 2001 - Nov 2007
Bookkeeping, bank reconciliation, cash management, fixed asset ledger, month end closing, accruals and prepayments, Forex exchange payments, debt recovery & monthly management accounts Bookkeeping, bank reconciliation, cash management, fixed asset ledger, month end closing, accruals and prepayments, Forex exchange payments, debt recovery & monthly management accounts
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Education
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London School of Business and Finance LSBF
Financial Markets, Trading & Analysis -
Gujarat University
Master’s Degree, Accounting and Finance