Senior Accountant
VIC - Melbourne Greater Area
Specialties
Accountant
Admin Assistant
Accounts Administrator
Supervisor

I HAVE OVER 6 YEARS EXTENSIVE SMSF ACCOUNTING EXPERIENCE IN A REPUTED AUSTRALIAN ACCOUNTING FIRM.

Summary

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Career

Monash Tax Accounting Services Pty Ltd - Senior Accountant
Australia
Specialties
Accountant
Responsibilities
  • Ability to Create new funds including client facing, winding up of funds, Pension rollbacks , Pension Conversions, Obtaining Actuarial Certificates, Preparing BAS Statements, reconciliation with Family Trusts owned by SMSF etc. ;
  • Knowledge of Super Fund formation procedures. ;
  • Knowledge of Forming Corporate trustee and Custodian companies Etc. ;
  • Participated in BGL Pension Training. ;
  • Ability to deal with people of various levels. ;
  • Participated in various In house SMSF Training programs. ;
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CROWEHORWAT AUSTRALIA LIMITED - SMSF ACCOUNTANT
Mining & Resources - Accounting, Finance, Banking & Insurance
VIC, Australia
Specialties
Admin Assistant
Accounts Administrator
Supervisor
Responsibilities
  • FINALISING FINANCIAL STATEMENTS AND TAX RETURNS
Achievements
  • 100 BUDGET
Crowe Horwath (Aust) Pty Ltd - Accountant
Australia
Specialties
Accountant
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Phillipe Reves Pty Ltd - Accountant
Australia
Specialties
Accountant
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Green Shield National Insurance Co Ltd - Head of Finance
Arabia, Saudi
Responsibilities
  • Initiated and Implemented weekly work plan to ensure financial team receive relevant information and journal entries updated with in timeframe, while other accounts payable work duties are addressed. ;
  • Created and introduced new manual for the vendor reconciliations processes, which reduced delays in payments to insurance companies and ensured timely follow up of Clients payments.. ;
  • Introduced Monitoring and coaching approach to data processing staff, which significantly reduced keying errors and incorrect payments. ;
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International Foundry Co - Finance Manager
Arabia, Saudi
Specialties
Finance Manager
Manager
Responsibilities
  • Month end accounting procedures for the company. Analyzed each operational lime item to determine monthly accruals and prepayments. Prepare and post journals appropriately. ;
  • Worked closely with the financial analysts to prepare and present the P&Ls to the operation manager for analyzing. This primarily involved reviewing the EOM numbers ;
  • Prepared monthly balance sheet reconciliations for all balance sheet items. ;
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Reza Investment Group - Senior Financial Accountant
Arabia, Saudi
Specialties
Accountant
Financial Accountant
Responsibilities
  • Carried out month end accounting procedure of the company. ;
  • Intercompany balance reconciliations to make sure intercompany charges are accurately recorded each month. Reconciled individual accounts at the year end to settle each intercompany account. ;
  • Performed various general accounting functions such as journal entries, account reconciliations, including maintaining individual capital accounts of owners. ;
  • Prepared monthly account package for Senior Management. ;
  • Monitored, analyzed and reviewed the P&L statement and the balance sheet for each department Analyzed individual P&L line items with divisional managers. ;
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Education and Qualifications

Year Qualifications Level Institution
2014 ASSOCIATE MEMBER OF CPA AUSTRALIA Other CPA AUSTRALIA No
1986 B COMM SPECIAL Bachelor Degree UNIVERSITY OF KELANIYA SRILANKA No

Tickets, Permits and Licences

Year Name Institution
2014 N/A N/A No

IT Skills

Software Skills

  • Word (Intermediate)
  • Excel (Intermediate)

System Skills

  • MYOB (Intermediate)