BENSON P DAVID M.Com CMA

BENSON P DAVID M.Com CMA

SENIOR ACCOUNTANT

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  • Timeline

  • About me

    Finance Manager at Dubai Holding

  • Education

    • Institute of Management Accountants

      2008 - 2010
      Certified Management Accountant (CMA) Accounting and Finance
    • MG UNIVERSITY

      2006 - 2008
      MASTER OF COMMERCE Accounting and Finance
    • Mahatma Gandhi University

      2003 - 2006
      Bachelor's degree B.Com
    • Madurai Kamaraj University

      -
      M.Com Finance and Financial Management Services
  • Experience

    • FOCUZ AUTOMOBILES

      Jan 2007 - Dec 2007
      SENIOR ACCOUNTANT

      • Preparation of Bank Book, Cash Book, Purchase Book.• Preparation of P&L, Fund Flow Statements.• Branch, Divisions, Creditors Reconciliation.• Bank Reconciliation (United Bank, Federal Bank ,Corporation bank).• Ledger Scrutinizing.• Journal Vouchers – To be completed wherever required for month end accruals / prepayment allocations and amortization, etc.• Preparation of Wages, PF & E S I.• Preparations of MIS details.• Monthly closing stock valuation of each branches.• Performing the reconciliation of Bank, Inter Company, Debtors and Creditors.• Book keeping and monitoring day-to-day transactions of the company. Show less

    • Dutco Group

      Jan 2008 - Jul 2010
      COST ACCOUNTANT

       To liaise closely with the senior manager on all commercial matters to jointly obtain maximum commercial benefit from a project. To ensure that only approved suppliers and subcontractors are utilized on a project in accordance with company laws and practice. Administrating the payments, insurances and bonds for sub-contractors and to ensure formal sign off of final accounts on the approval format.  Analyses the monthly Contract Costs (Labour, Plant, Suppliers, Subcontractors, Staffs, General Expenses) To assist the monitoring of the number of hours and output resources (labour, plant, staff) against tender/forecast allowances and review with the senior manager. Submit monthly payment applications timely at the end of each month, expedite issue of payment certificates, monitor payments and chase cash.  Monthly finalization of contract cost with contract valuation and calculation of contract profit.  Creditors, Subcontractors Reconciliations. To establish cost code for all requisitions and to be actively involved in the payment terms and conditions. To prepare cash flows and fund flow statements. To provide cost accruals for all contract costs and compare with actual cost. Detailed checking of each month contract costs Show less

    • Damac Facilities Management Co LLC

      Jul 2010 - now
      Chief Accountant
    • DAMAC Properties

      Jul 2010 - May 2018

       To liaise closely with Finance Director to prepare the Service Charge Budgets for all handed over buildings in Dubai, Qatar and Saudi. Service Charge Invoicing – Generation of new invoices for all projects through Oracle accounting software.  To monitor & manage all the entries in IPMS-Oracle for all modules & advise the Senior Finance Manager for any non-recurring activities. Trial Balance – To ensure trial balance is in perfect shape reflecting reality norms for the company and as per guide lines of RERA. Supplier cheques reviewing – To review all the cheques prepared for suppliers prior to submission to the senior finance manager.  Automation of finance modules in Oracle-To liaise closely with IT Manager to automate all finance modules. Closely monitoring and verifying the accounts on daily basis. Performing the reconciliation of Bank, Inter Company, Debtors and Creditors. Responsible for preparing Cash, Bank book and Journal Vouchers, their corresponding postings and preparation of Financial Statements on a monthly basis. Variance Analysis – Budget Vs Actual spent. Responsible for Accounts Receivable and Payable Section. Closely monitoring and arranging the fund for supplier/subcontractor payments. GL Posting – To post the transactions to GL on a daily basis after thorough reviewing. Journal Vouchers – To be completed wherever required for month end accruals / prepayment allocations and amortization, etc. Monthly / Weekly Reports - MIS/Income & Expenditure/Balance Sheet/AR Aging & Collection Reports/Cash Flow. Responsible for Internal and External Audit. Show less

      • FINANCE MANAGER

        Apr 2016 - May 2018
      • Chief Accountant

        Jul 2010 - May 2017
    • Ejadah

      Jun 2018 - now
      Finance Manager
  • Licenses & Certifications

    • M-100: The Essentials of Community Association Management

      Community Association Institute, Government of Dubai