
JEGATHEESH M SAMY
About Candidate
A goal-oriented professional with experience of nearly 20 years in Finance & Accounts, Liaoning, administration as well as Auditing & Taxation.
Presently designated at Eudemon IT Systems , Abu Dhabi as Finance Controller
Possess significant experience in handling activities pertaining to Finance & Accounting; skilled in handling the overall accounting functions including exposure in performing Statutory Audit and Tax Audit. .
Education
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Experiences
Liaising with Bank for Bank facilities for general facilities / Project Financing Cash flow management Project wise profitability – focusing on documentation for variation part. Customer and suppliers’ negotiation on price and tenor Applying open TR against Proforma Invoice & Extending TR facility one the goods arrival documents. Submission of bank guarantees for the contracts awarded and to be awarded. (Tender Bond, Performance Bond & Advance Payment Guarantee) Have worked & Liaison with Internal & External Auditors (Kreston Menon) for annual, Interim and management Audit. Preparation of daily Monthly & Quarterly MIS Reports and cash flow statement. Monitoring of Receivables and payable Management Managing Bank guarantee and LC & TR documents & Report Liaising with banks for new and current facility for the existing manufacturing unit Ensure all payments to suppliers as per credit Tenor & maintaining the support from suppliers ( AP worth AED 300 Million
Finalization, Preparation & consolidation of Financial Statement Financial Analysis & Ratio Analysis, analyze costs and evaluation for cost reduction opportunities. Compliance and working knowledge in International Accounting (IFRS) Standard. Verification of Bank Reconciliation Statement and payroll processing (WPS). Attended management board meetings and submitted Budget & MIS Report & AFS Month wise accounts closing and making Reports to management. & Filing VAT Taking and renewing vehicle insurance policies for the group vehicles and to ensure they are renewed in time. Liaison with suppliers& customers Liaison with Lawyers to file civil case on defaulted customers & attending court proceedings where ever required
Opening Import LC and collection of documents from Banks and sent to Customs for clearance Submission of documents to Bank under Export LC /CAD/DP Opening of TR facility and ensure the facilities are under the limits & Leasing with Banks & Trade Finance Preparation of monthly Financials for Europe Division /Nigeria Division Sales Margin Reports for Division wise ( Europe /North America /Australia/South Africa/Nigeria) Submission of MIS to the Management as and when required Internal Audit for Gurudwara Sikh Temple , a part of Al Dobowi & submission of reports to Committees Preparation of Revenue & Expenses Budgets and consolidation Submission of offshore reporting to Nigeria / Ghana Operations Prepare the Holding company sub consolidation
Taking CAR policy for contracts to be started – Sending the proposal and getting quotes from various insurance companies and finalizing best rate. Coordinating with PM towards all project variation claims and approval process o Preparation of consolidated profit & loss account and Balance sheet for all the division on monthly basis. o Monthly reconciliation of intercompany owing and elimination of inter-company transactions for arriving net sales to the company o Coordination with auditors for annual closing of accounts o Submission of bank guarantees for the contracts awarded and to be awarded. (Tender Bond, Performance Bond & Advance Payment Guarantee) To forecast & analyses the running project performance, cost to completion and expected completion time, Organizational cash flow project wise Provide adhoc information & support in any cost related matters to the management



