Hoollah - Accounts Assistant - Mauritius

Kewal Hoollah

Mauritius

Services

Accounts Assistant

Work History

AP Team Lead

Accenture Services Ltd

From June 2010

• Invoice Processing and other PTP tasks
• Ensure the smooth running of operations
• Develop and implement tools, tracking methods, reports and procedures
• Monitor critical inputs and ensure Green SLAs and OLAs
• Ensure that all Trackers are properly updated at all times
• Meet Productivity and Quality Targets
• Ensure quality controls are done regularly
• Comply to Accenture Policies and Core Values
• Help new joiners achieve routine work of the process
• Communicate effectively with both internal and external clients Maintain discipline in the team
• Complete delegated workload from Supervisor effectively and efficiently
• Develop creative and analytical skills

Accounts Clerk

Divine Ireland, IRELAND

Up to April 2010

• Keeping all books of accounts - cash book, purchase day book, sales day book and their respective ledgers.
• Monthly computation of wages & salaries.
• Monthly bank reconciliation statement.
• Debtors & creditors control accounts
• Final accounts preparation
• Control the flow of supplies in and out of storeroom.
• Stocks retained for future use and issue these items from the storeroom when they are needed.
.

Cashier

Tesco, United Kingdom

• Ensure that each customer receives outstanding service by providing a friendly environment, which includes greeting and acknowledging every customer.
• Maintaining outstanding standards, solid product knowledge and all other aspects of customer service.
• Maintain an awareness of all promotions and advertisements.
• Maintain all cash and media at the registers.
• Communicate customer requests to management.
• Enter all media from register into the tally program.
• Maintain orderly appearance of register area and supplies stocked.
• Any other tasks as assigned from time to time by any manager.

Senior Accounts Officer

RS FASHIONS LTD

• Monthly computation of VAT & return.
• Monthly computation of PAYE & return.
• Monthly computation of payroll.
• Monthly bank reconciliation statement.
• Preparation of final account up to Trial Balance.
• Monthly debtors & Creditors control accounts.
• Any other cognate duties assigned by the Finance Director.

Accounts Clerk

RAMDENEE BROS CO. LTD

• Keeping all books of accounts - cash book, purchase day book, sales day book and their respective ledgers.
• Monthly computation of wages & salaries.
• Monthly bank reconciliation statement.
• Monthly stock reconciliation
• Helping the Accountant in monthly management accounts.
• Any other related duties assigned by the Financial Controller

Qualifications & Certifications

Business Administration

London College of Computing & Mgt Science

Business Administration

London College of Computing & Mgt Science

Louis Nellan Govt School

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