Sudheesh Radhakrishnan
Front Line Associates at Hadi Express Exchange- Claim this Profile
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Bio
Experience
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Hadi Express Exchange
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United Arab Emirates
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Financial Services
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1 - 100 Employee
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Front Line Associates
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Nov 2020 - Present
Executes foreign currency transactions for clients. Executes WPS transactions for clients. Handling currency, transactions, & buy or sell foreign currencies in a responsible manner. Perform administrative tasks such as filing, typing up reports and maintaining E mail correspondence. Executes foreign currency transactions for clients. Executes WPS transactions for clients. Handling currency, transactions, & buy or sell foreign currencies in a responsible manner. Perform administrative tasks such as filing, typing up reports and maintaining E mail correspondence.
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Furniture City
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United Kingdom
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Furniture and Home Furnishings Manufacturing
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1 - 100 Employee
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Senior Accountant
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Jan 2018 - Nov 2020
Knowledge of purchase and sales invoices and bank reconciliation. Preparation of GST Tax returns. Handling incoming cash and cash expenses. Reconciling A/P payments with bills. Managed Journal entries & Ledger. Preparation of monthly MIS to Directors. Preparation of monthly P&L and Balance sheet and income statement. Preparation of weekly payment summary based on brand to Suppliers. Preparation of sales, stock statement based on brand to Directors. Knowledge of purchase and sales invoices and bank reconciliation. Preparation of GST Tax returns. Handling incoming cash and cash expenses. Reconciling A/P payments with bills. Managed Journal entries & Ledger. Preparation of monthly MIS to Directors. Preparation of monthly P&L and Balance sheet and income statement. Preparation of weekly payment summary based on brand to Suppliers. Preparation of sales, stock statement based on brand to Directors.
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R J Trading Company
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United Kingdom
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Wholesale
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Accountant
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Jan 2015 - Jan 2018
Knowledge of purchase and sales invoices and bank reconciliation. Preparation of bank reconciliation statement with ledgers. Preparation of Sales Tax and GST returns. Reconciling A/P payments with bills. Managed Journal entries & Ledger. Handling incoming cash and petty cash. Managed sales requirements & Cash collection. Preparation of monthly P&L, Balance sheet, income & stock statement. Knowledge of purchase and sales invoices and bank reconciliation. Preparation of bank reconciliation statement with ledgers. Preparation of Sales Tax and GST returns. Reconciling A/P payments with bills. Managed Journal entries & Ledger. Handling incoming cash and petty cash. Managed sales requirements & Cash collection. Preparation of monthly P&L, Balance sheet, income & stock statement.
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Audit Assistant
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May 2012 - Feb 2014
Vouching purchase, sales & expense bills of various companies. Auditing of prepared trial Balance. Preparation of trading, profit & loss account. Preparation of balance Sheet. Vouching purchase, sales & expense bills of various companies. Auditing of prepared trial Balance. Preparation of trading, profit & loss account. Preparation of balance Sheet.
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Education
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University of Calicut
Bachelor of Commerce (B.Com.), Accounting