RAY PEPITO RANESES
King Saud St. Dammam, Kingdom of Saudi Arabia
Mobile No. +966 550288201
Email address.: [email protected]
Career Aim:
· To seek fulfilling positions that will allow me fully contribute my knowledge and skills acquired through the years of working experience.
· To be a part of an organization that will showcase my competence and versatility in leading an organization.
Areas of Expertise:
· Financial Statement & Preparation ● Fixed Assets
· General Ledgers and Journal Entries ● Data Entry, Receipts & Invoice
· Accounts Receivables and Accounts Payables ● Payroll
· Month-end Reconciliation and Analysis ● Petty Cash, Disbursement & Reimbursement
· Cost Analysis ● Inventory control
Skills & Competence:
· Be able to use ERP system.
· Proficient in Microsoft office (Excel, Word, Outlook, & PowerPoint)
· Hands on detail oriented task.
· Excellent analytical and problem solving skills.
· Strong organizational skills and ability to prioritize workloads & manage deadlines.
· Ability to work independently and collaboratively with different level of employees.
Working Experience:
Thrust boring Technology Contracting Company General Accountant
(Expert in Microtunnelling, HDD, Sheetpiling & Dewatering) March 22, 2014-present
Dammam, Kingdom of Saudi Arabia
Job Description:
· Reporting to Finance Manager and General Manager.
· Perform processing and managing Petty Cash transactions, disbursements and reimbursements.
(Preparation of vouchers and other related accounting transactions).
· Generate process, review, reconcile and issue invoices for payments as per company procedures.
· Prepare, process expenditures, purchase orders and request for approval for disbursement/payment.
· Keeping track all payables/payments including expenditures, payroll, purchase orders, invoices etc.
· Process and generate Aging Accounts Payable and Accounts Receivable.
· Maintain and Monitor Suppliers and Customers account to ensure payments are up to date.
· Reconcile Suppliers and Customers Accounts to correct discrepancies especially on unpaid invoices.
· Handling Fixed Assets account and depreciation calculation.
· Prepare, examine, and analyze accounting records, and other financial records to assess and ensure accuracy and completeness of Financial Statement reporting..
· Consolidate and analyze financial information to prepare entries to accounts such as General
Journal, General ledger Accounts and other document business transactions.
· Analyze business operations, costs, revenues, financial commitments and obligations to project future revenues and expenses or to provide advice.
· Prepare Financial Statements profit as well as Cost Center Reports statistical metrics reports.
· Prepare Quarter-end and year-end Financial Reports schedule for external audits processor.
· Assist External Auditors.
· Establish, maintain and coordinate the implementation of accounting and accounting control procedures
· Maintain and update Chart of Accounts.
· Ensuring accurate and processing of timely payroll.
· Keep VAT account and prepare tax returns.
· Serves also as Secretary to the GM & Admin.
· Prepare other job related duties as necessary.
Binthani Electro Mechanical Trading & Contracting Co. W.L.L Cost Accountant
“A” Grade MEP Contractor March 8, 2012-Nov. 25, 2013
Doha Qatar
Job Description:
· Monitor material input, process, and output at Fabrication Workshop.
· Monitor price variation in all material purchase.
· Update standard costs in the bill of materials.
· Monitor and maintain the Stock order level.
· Responsible in maintaining book quantity with the actual quantity of materials.
· Monitoring Inventory transactions and analyzing variances.
· Designs and understands cost flow to determine proper job order costing.
· Monitor possible availability to increase the performance of workers at Fabrication Workshop.
· Monitor and maintain the cost of each products or services produced/fabricated.
· Introduce new technique to get maximum output with low cost from Fabrication workshop.
· Calculate, review and analyze machine cost including labor hours, overhead cost and allocations, production rates, raw material cost and manufacturing process changes.
· Prepare costing for each ordered items and process job order to proceed for fabrication.
· Prepare and process for invoicing of each material ordered/produced as per standard unit cost.
· Validate cost of goods sold as part of monthly-end-close.
· Reporting to Cost Controller/Manager.
· Handling Daily time Records of Workshop Staffs’.
Asiawide Refreshment Corporation (ARC) Tally Clerk (Treasury Dept.)
(Bottler of RC Cola, Fruit Orange, Fruit Soda etc) Nov. 03, 2009-Jan. 27, 2012
Quezon City, Philippines
Job Description:
· Check, Verify and tally invoices documents to ensure the correctness of products purchased.
· Validate Customer’s Order and Tally payment received.
· Cashiering (verify tally payment from customers).
· Execute clerical functions to the accounts and Sales Department.
· Reconcile and Tally customer’s balances with attached ledger accounts and other reference details.
· Monitor Customer’s Post Dated Check payments.
· Maintains financial records such as Daily cash collection accounts, billings, Records of Invoices and Daily Sales report.
· Monitor and verify credit availability for customers.
· Communicate with customers about products and services.
· Performs other similar or related duties as requested or assigned.
A’FAMOSA Resort Hotel Sdn Bhd Material Clerk
500 hectares Resort Hotel Jan. 19, 2007-March 31, 2009
Malacca, Malaysia
Job Description:
· Received and check delivered items or materials on delivery note against the actual quantity.
· Report damaged or rejected materials and process for return to Supplier.
· Compile and maintain records of quantity, costs and type of materials received, stocked and issued.
· Prepare material requisition for the procurement of Hotel materials and amenities when it is not available on stock or stock balance is not enough for operation usage.
· Logging and tracking inventory as they are being used or received.
· Identify materials shortages and scheduling delays.
· Prepare data for input.
· Generate reports regarding inventory balances or shortages.
· Perform Warehouse/Inventory control and other related duties.
· Monitors materials or amenities from time to time.
MINERVA TRADING INC. Internal Auditor
House of Motorcycles March 13, 2006-Jan 15, 2007
Caloocan City, Philippines
Job Description:
· Review and Check all accounting transaction such as Petty Cash Fund, Aging Payables, and Collectible
Accounts, Monthly sales as well as Staff Sales Incentives, benefits etc.
· Check Customer’s Credit Contract Agreement including Chatter Mortgage.
· Check monthly Salaries.
· Review all Daily Cash Collection Report from all Branches.
· Review Daily Sales Report.
· Monitor Daily Bank transactions.
· Preparing reports documenting findings and making recommendations.
· Conducting presentations on findings to Management.
MINERVA TRADING INC. Field Auditor
House of Motorcycles May 03, 2005-Oct. 23, 2005
Caloocan City, Philippines
Job Description:
· Reporting Senior Auditor about audit findings on branches.
· Conduct surprised Audit engagement to all Company branches.
· Conduct Weekly Physical Inventory of all Units in a Branch.
· Conduct cash counting of cashier’s collection to ensure cash are intact on vault.
· Check all units’ registrations cards.
· Verify all duplicate invoice copy against the Customer’s Original Invoice.
· Check all accountable forms.
· Recommend all necessary documents to Branch.
· Check and verify branch Inventory records against actual quantity.
NMC Storage Makers, INC Warehouseman/Storekeeper
Binangonan Rizal, Philippines Oct. 10, 2001-April 15, 2005
Job Description:
· Check and verify branch Inventory records against actual quantity.
· Responsible in controlling materials received and issued.
· Check and verify delivered materials on delivery note against actual quantity.
· Monitor all outgoing materials on inventory records.
· Prepare and issue material request on unavailable materials.
· Responsible for the accurate recording of incoming and outgoing transaction of materials.
· Responsible for the implementation of proper stocking procedures, to prevent and maintain the quality of materials.
· Make weekly physical inventory.
· Report any discrepancy on materials to Warehouse Manager.
TRAINING & SEMINARS:
OSHA Academy Occupational Safety & Health Specialist
Doha, Qatar August 25, 2013
World Safety Organization-Qatar Chapter Health & Safety
Doha, Qatar
· Accident Investigation Basics August 23,2013
(WSO-A-007-13)
· Trenchless Pipeline Construction with focus on September 6, 2013
Risk Management
· Risk Management Focus on Behavioral Safety October 11, 2013
(WSO-A-008-13)
ASIANTOUCH INTERNATIONAL INSTITUTE Barista
San Jose, Rodriguez Rizal (WTN No.0904A040037)
EDUCATION:
Tertiary: DE LA SALLE UNIVERSITY (Formerly known as ICC-LA SALLE)
Period: 1997-2001
Bachelor of Science in Commerce major in Management Accounting (BSC-MA)
Secondary: Santa Maria Goretti College
Period: 1993-1997
MEMBERSHIP IN CLUBS AND ORGANIZATIONS:
World Safety Organization (WSO-Doha Qatar) Member (2013)
Junior Philippine Institute of Accountant (JPIA) Member (1997-2001) School of Business Student Organization (SBSO) Member (1997-2001)
CHARACTER REFERENCES:
(available on request)
PERSONAL INFORMATION:
· Nick Name Ray-Ray
· Status Married
· Gender Male
· Citizenship Filipino
· Date of Birth April 03, 1980
· Place of Birth Zamboanga del Sur
· Height 163cm
· Weight 55kgs
· Passport No. P4779513A
· Expiration Date October 20, 2022
· Place of Issue Philippine Embassy-Riyadh KSA
· SSS No. 33748-5012-9
· Tin No. 239-608-001
I hereby certify that the above statement and information is true and correct to the best of my knowledge and belief.
RAY PEPITO RANESES
• Reporting to Finance Manager and General Manager.
• Perform processing and managing Petty Cash transactions, disbursements and reimbursements.
(Preparation of vouchers and other related accounting transactions).
• Generate process, review, reconcile and issue invoices for payments as per company procedures.
• Prepare, process expenditures, purchase orders and request for approval for disbursement/payment.
• Keeping track all payables/payments including expenditures, payroll, purchase orders, invoices etc.
• Process and generate Aging Accounts Payable and Accounts Receivable.
• Maintain and Monitor Suppliers and Customers account to ensure payments are up to date.
• Reconcile Suppliers and Customers Accounts to correct discrepancies especially on unpaid invoices.
• Handling Fixed Assets account and depreciation calculation.
• Prepare, examine, and analyze accounting records, and other financial records to assess and ensure accuracy and completeness of Financial Statement reporting..
• Consolidate and analyze financial information to prepare entries to accounts such as General
Journal, General ledger Accounts and other document business transactions.
• Analyze business operations, costs, revenues, financial commitments and obligations to project future revenues and expenses or to provide advice.
• Prepare Financial Statements profit as well as Cost Center Reports statistical metrics reports.
• Prepare Quarter-end and year-end Financial Reports schedule for external audits processor.
• Assist External Auditors.
• Establish, maintain and coordinate the implementation of accounting and accounting control procedures
• Maintain and update Chart of Accounts.
• Ensuring accurate and processing of timely payroll.
• Keep VAT account and prepare tax returns.
• Serves also as Secretary to the GM & Admin.
• Prepare other job related duties as necessary.
• Monitor material input, process, and output at Fabrication Workshop.
• Monitor price variation in all material purchase.
• Update standard costs in the bill of materials.
• Monitor and maintain the Stock order level.
• Responsible in maintaining book quantity with the actual quantity of materials.
• Monitoring Inventory transactions and analyzing variances.
• Designs and understands cost flow to determine proper job order costing.
• Monitor possible availability to increase the performance of workers at Fabrication Workshop.
• Monitor and maintain the cost of each products or services produced/fabricated.
• Introduce new technique to get maximum output with low cost from Fabrication workshop.
• Calculate, review and analyze machine cost including labor hours, overhead cost and allocations, production rates, raw material cost and manufacturing process changes.
• Prepare costing for each ordered items and process job order to proceed for fabrication.
• Prepare and process for invoicing of each material ordered/produced as per standard unit cost.
• Validate cost of goods sold as part of monthly-end-close.
• Reporting to Cost Controller/Manager.
• Handling Daily time Records of Workshop Staffs’.
• Check, Verify and tally invoices documents to ensure the correctness of products purchased.
• Validate Customer’s Order and Tally payment received.
• Cashiering (verify tally payment from customers).
• Execute clerical functions to the accounts and Sales Department.
• Reconcile and Tally customer’s balances with attached ledger accounts and other reference details.
• Monitor Customer’s Post Dated Check payments.
• Maintains financial records such as Daily cash collection accounts, billings, Records of Invoices and Daily Sales report.
• Monitor and verify credit availability for customers.
• Communicate with customers about products and services.
• Performs other similar or related duties as requested or assigned.