Seeking for a position where i can gain more knowledge and experience that can utilize my career.
Basic Info
Industry:Other Industry
Department:Finance and Accounts
Job Level:Management
Job Role:Accountant
Nationality:Philippines
Current City:Ibri
Current Country:Oman
Education Level:
Graduation
Basic Info
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Lloyd Anthony Samson's Activity
No Activity
Education
Bachelor of Science in Accountancy
June 2002 - March 2006
College of the Immaculate Concepcion, Philippines
Certifications & Awards
Certifications & Awards Not Mentioned
Skills
Skills Not Mentioned
Experience
Accountant
2021 - Present (3 Years)
Al Rubaie Trading Est., Oman
Focus9 Advance user. • Preparing, Analyzing, & submitting of Financial Statements to Managing Director. • Bank Reconciliation • Entry of Purchase Vouchers, Monitoring of Suppliers Outstanding Balance, Preparing of Cheque payments to suppliers. • Monitoring debit customer Receivables & creating New debit Customers. • Posting of Receipts & Payments. • Preparing journal adjustment entries. • Supports system users request for documentation • Prepare special financial reports using Microsoft excel that is not available in the system requested by the managing director. • Preparing & submitting VAT RETURNS.
Accountant
2015 - 2021 (6 Years)
Al saif Al Lamaa Building Materials, Oman
E.R.P.(Enterprise Resource Planning System) advance user • Analyze and prepares invoices / Vouchers for data entry in Accounts Payable Module and do actual data entries and matching of invoices in the system. • Follow-ups with vendors / end users for any clarification, corrections and other relevant documentations require to validate the invoices. • Filling all types of vouchers • VAT entry and computations of all VAT INVOICES for UAE Branch. • Assist in supporting internal and external audits, coordinating activities in backroom and ensuring timely response to documentation request by auditors. • Performs related duties as assigned by superiors to enable achievements of section’s objectives. • Supports users request for documentation. • Reconciles financial discrepancies by collecting and analyzing account information. • Maintains financial security by following internal controls. • Prepares special financial reports by collecting, analyzing, and summarizing account information and trends