SINJU MATHEW JOHN
About Candidate
Respected All
It is with great interest that I am forwarding my resume for your consideration. I am open to pursue position you may have that suits my credentials. My record of academic achievements and professional career history, demonstrates attributes that make me a valuable employee. My Resume is enclosed to provide you with details of my skills and accomplishments; I am a holder of Master degree in Business Administration(MBA) in Finance and Marketing .My latest 2 years experience is worked as an General Accountant in Semi Govt sector (Tasheel,Amer, EID,DED), I have 6 years of experience in the field of Banking &Exchange operations in UAE Exchange Centre LLC as a Front Line Associate and a Senior Cashier in Forex dept . 1 year experience in Operations dept on a Freight forwarding Company in Riyadh, KSA and 2 years experience in Administrative and Purchase dept in Al Ahalia Hospitals. I wish to apply for a new job. Now i am presently in Sharjah and holder of UAE Driving licenses also.
Thank you for your time and consideration, and do not hesitate to contact me if you have any questions. I’m looking forward to speaking with you soon.
Respectfully Yours,
SINJU MATHEW JOHN
0529337859
Location
Education
MBA (FINANCE AND MARKETING)
B.com
Work & Experience
rofile: Act as the point of contact for all employees. Providing administrative support and managing their queries. Manage office supplies stock and place orders. Prepare regular reports on expenses and office budgets. Maintain and update company databases. Organize a filing system for important and confidential company documents. Answer queries by employees and clients. Update office policies as needed. Maintain a company calendar and schedule appointments. Book meeting rooms as required. Distribute and store correspondence. Prepare reports and presentations with statistical data, as assigned. Arrange travel and accommodations
Ensure that cash sales entries for Government Services are matching with POS entries by conducting daily, regular checking prior to posting in the system and Posting Coordinate with service point cashiers on cases where records do not match for the purpose of reconciling discrepancies; recommends necessary action to line manager in cases of possible fraud and misalignment. Monitor, Report and reconcile daily costing activities. Coordinate and escalate discrepancies to the management for appropriate action. Ensure Physical documents submitted are matching entries in the system. Conduct regular, scheduled cash audits in all service points, maintains audit records, prepare audit reports and recommends actions to management. Develop efficient commission & Incentive calculations. Contribute (as required) to identify areas of improvement in terms of general accounts processes, use of technology etc. and work to implement any changes Support the management in processing accurate and timely year-end reporting. Conducting and describing monthly, Quarterly, Yearly management Meeting.
Keeping a close look on market currency fluctuation and manage booking of key currencies with forex dept. AML compliance scrutiny Hardcore experience in Cash dealings, Foreign Exchange dealings, Remittance Operations. Reconciling of the files Day end report preparation and mailing Keeping a record of daily activities for future references and audit purposes Worked as a second line in Branch Accounts and AML Perform administrative tasks such as filing, generating reports and maintaining mail correspondence. Provide support and information to customers, over the counter and by phone. Maintain a cash float and follows balancing and reconciling procedures. ACHIEVEMENTS Employee of month ( Aug 2013,Dec 2014,Jan 2015) Special certificate for Outstanding Performance achievement in FC Business for the year 2014
Preparing the documents of shipment &forwarding Involved in costing department and member of Planning Management Preparation of Payment and Outstanding Statements Briefing management with latest market changes to adopt new tools and techniques to become more competitive Constant follow up and strengthen company relationship with customer Handling the purchase dept.
Assist in the operations of Finance department Assist in the operations of HR department Assist in the operations of Materials department Process the purchase orders by liaising with suppliers or principals Ensure all purchase are approved within mandated guidelines Assist in the sourcing locally and overseas for new goods not supplied by regular principals/suppliers Manage the local and overseas purchase enquiries