Sandesh Dhimal
Accounts Assistant at Success Resources Australia- Claim this Profile
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English -
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Nepali -
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Hindi -
Topline Score
Bio
Experience
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Success Resources Australia
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Australia
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Consumer Services
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1 - 100 Employee
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Accounts Assistant
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Dec 2021 - Present
Roles and Responsibilities: * Prepare and maintain financial records, including journal entries, accruals, pre-payments, accounts payable, and accounts receivable and issue invoices. * Conduct monthly and annual financial reporting and analysis. * Prepare reporting and filing requirement including BAS, PAYG, and GST. * Conduct bank and intercompany reconciliation. * Preparation of P&L, commission report as per event and speakers on monthly basis. * Collaborate with cross-functional teams to resolve financial issues and optimize processes. * Assist with audit preparation, liaise with auditors and other ad-hoc jobs lead by finance head. Show less
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Hellmann Worldwide Logistics
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Germany
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Truck Transportation
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700 & Above Employee
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Billing Officer
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Jun 2020 - Dec 2021
Roles and Responsibilities: * Validate transaction in billing system and issue invoices * Examine data accuracy in both warehouse and billing system * Reconciling supplier charges vs system record and resolve discrepancies * Conducting/analyzing transport P&L on job level * Preparing month end accrual (cost & revenue) * Assist with any ad-hoc projects as assigned. Roles and Responsibilities: * Validate transaction in billing system and issue invoices * Examine data accuracy in both warehouse and billing system * Reconciling supplier charges vs system record and resolve discrepancies * Conducting/analyzing transport P&L on job level * Preparing month end accrual (cost & revenue) * Assist with any ad-hoc projects as assigned.
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Civil Bank Limited
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Banking
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100 - 200 Employee
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Management Trainee
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Oct 2016 - Nov 2017
Functional Title : Relationship Manager Roles and responsibilities: 1.To deliver a high quality client service and customer retention approach to managing client relationships to enhance product sales and new client growth targets. 2.Accurately assess the risk profile, suitability and appropriateness of clients when marketing banking products and services by maintaining an accurate and up to date call report, KYC database. 3.Handle client queries of day to day nature via telephone/fax/post/e-mail. Assist in resolving client problems within the team. 4.Maintaining/Establishing cordial relationship with current as well as potential customer, credit counseling etc. 5.Making customer aware about different products of the finance company through group presentation, personal visit, or telephonic correspondence. 6.Proactively develop client relationships, anticipate and provide solutions to client needs and give high priority to client satisfaction, with responsibility for meeting or exceeding agreed performance targets and objectives, particularly those relating to net new money, income generation, product sales and new client growth targets. 7.To manage and enhance the existing commercial portfolio and solicit acceptable new relationships in order to meet the pre-set financial non-financial objectives. 8.Manage the existing loan portfolio to ensure establishment of appropriate account plans, recommend credit facilities in line with Bank credit policy to maximize earnings while containing risks to an acceptable levels. Show less
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Calypso Marine Services L.L.C.
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Doha, Qatar
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Accountant
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Aug 2013 - Jan 2016
Roles and Responsibilities: 1. Establish and implement financial procedures in line with organizational requirements, 2. Manage financial and administration teams to achieve company financial goals, 3. Develop the overall corporate financial goals and objectives, 4. Oversee preparation of financial records related to general ledger, payroll, budget, expense, etc, 5. Monitoring of the petty cash and bank balances to ensure sufficient funds are always available as per needs. 6. Assist in account receivable and payable activities. 7. Maintain accurate bank records of cash withdrawals and deposits. 8. Follow standard accounting process for financial analysis and reporting activities. 9. Perform account reconciliations and generate financial reports 10. Identify and resolve invoicing issues, accounting discrepancies and other financial related problems. 11. Manage all client accounts for payment settlements. 12. Track and monitor resource needs and other material needs for carrying out financial and administration tasks. 13. Interview, hire and train new employees in financial and administration activities 14. Assist in resource identification, work assignment, performance evaluation, and promotion decision activities. Show less
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Standard Chartered Bank
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United Kingdom
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Banking
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700 & Above Employee
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Office Assistant
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Apr 2009 - Jul 2010
Roles and Responsibilities: 1. Monthly tax calculation and submission to Inland Revenue Department of Nepal, 2. Cost Accounting and Cost Tracking as per budget, 3. Assets Management (Acquisition/Purchase of Assets, Depreciation calculation, assets transfer, assets tracking, selling and disposal of depreciated assets.) and reporting to Assets and Liabilities Management (ALM) Officer, 4. E-Procurement and payment to vendors as per the contract and payment policy, 5. Tracking and Amendment of Contracts with vendor in assistance of SS & CRES Department, 6. Preparation and issue of Tax Certificates, 7. Reimbursement to the expenses made by employee as per the employee expenses policies. Show less
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Education
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Charles Sturt University
Master's degree, Accounting -
Sri Venkateswara College of Engineering & Technology, Andra Pradesh, India
Master of Business Administration (M.B.A.), Fiannce and Marketing -
Nepal Commerce Campus
Bachelor of Business Administration (B.B.A.), Banking, Corporate, Finance, and Securities Law -
Vinayak Sudha Niketan Higher Secondary College
+2, Accounting and Business/Management -
Model Public School
School Leaving Certificate, Accounting, Pre- Vocational Training, Health