
INDRAKUMAR ASUN NISSANKA
About Candidate
Dear Sir/Madam
I am writing to apply for the position of Hotel Revenue Executive of hotels in Oman. I have worked in Marino Beach (Pvt) Ltd as an accounts executive since 01st April 2018 and have a wealth of experience in the hotel industries. In my current position as a revenue side accounts executive, I have been responsible for over LKR 150 million Revenue.
Thank You
Asun Nissanka
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Work & Experience
• Analyzed financial statements. • Reviewed and evaluated the audit evidence. • Drafted the audit and non-assurance reports. • Participated in audit discussion with clients. • Prepared the Consolidation Financial Statements. • Carried out statutory and non-statutory audits of Quoted & Private Limited Liability Companies, Proprietorship & Partnership concerns, Banks, Hotels, Nonprofit making concerns, Estates etc. • Prepared the income tax computation for every person and partnership. • Responsibilities include all activities from planning to finalization of audits and tax related issues. • Maintained books of account. • Prepared financial Statements from the books of prime entry. • Ensured compliance with statutory and other regulatory provisions. Evaluation of internal controls and suggesting improvements to ensure that the system functions more effectively.
• Preparing monthly, quarterly, and annual financial statements • Updating the accounting system for Accounts Receivable, Accounts Payable, Bank Reconciliations and Current Accounts • Handling the General Ledger • Preparing Annual Report • Preparing Monthly Management Report • Handling the customer invoices & payments • Computing VAT, NBT, ESC and Income tax liabilities and comply with tax payment and reruns filing requirements • Liaising with auditors, bankers, and tax authority
• Reporting to the General Manager- Finance. The following are the key responsibilities. • Handing revenue and account receivable processes of Marino Beach (Pvt) Ltd. • Preparing and updating of fixed assets register. • Maintaining the insurance policies and provide necessary information for amending the insurance policies. • Maintaining of cash books. • Preparing the payment vouchers and making relevant payments. • Updating the accounting system and providing Management Information on regular basis