Hanish A.

Summary

ACCOUNTS MANAGEMENT | FINANCIAL REPORTING & ANALYSIS | ROI ENHANCEMENT
Seeking challenging assignments with a reputed organization to leverage acquired skills in MIS, financial & cost accounting, bank reconciliation and internal audit for accomplishing organizational growth objectives,

Experience

Accountant
La Digue Island Lodge
Seychelles
January-2019 - January-2020

Achievements:
Acknowledged by the senior management for implementing expeditious exigency measures during the Thomas Cook GmbH Insolvency.

Responsibilities:
Involved in finalization of accounts, preparing statement of financial position, financial performance and cash flow based on organizational policies and other statutory regulations.
Interact with various stakeholders in implementing various revenue management operations, procedures and best practices, optimizing food and beverage costs aimed at maintaining organizational P/L.

Accountant
Al Kobaisi Group
Bahrain
January-2018 - January-2019

Define pricing strategies, including rates for rooms and packages encompassing discounts and specialty rates. Align pricing and revenue to evaluated market dynamics and other related factors.
Assist the senior management in generating additional revenue by implementing various promotional schemes for the target market segment.
Prepare and present Variance analysis for Food & Beverage to the concerned stakeholders for implementing effective remedial measures.
Interact with banks, insurance firms and actuaries to obtain required information on timely basis. Prepare special financial reports by collecting, analyzing and summarizing account information and trends.

Accountant
Yateem Group
United Arab Emirates
January-2015 - January-2017

Render critical assessments of all budgets and cost projections to the department heads to ensure maximum profitability. Maintain productive business relationship with the vendors and service providers for maintaining seamless operations.

Involved in reconciling bank statements & general ledgers accounts (purchase, sales, creditors, debtors & stock book) with cost and its supporting documents.
Evaluate cash flow and followed up with banks & financial institutions for ensuring adequate fund flow to fulfill requirements of existing and future business ventures of the organization.
Manage payments collection from debtors and payment to creditors. Assist the senior management in preparing and implementing annual business plans

Education

CMA
CMA (ICWA)
India
January-2010 - January-2013

ICWA (CMA) / G I&II, The Institute of Cost and Management Accountants of India.

B.com
Krishna University
India
January-2009 - January-2012

Bachelor of Commerce - Taxation , Krishna University, India.