Why Ali Muhammad?
Detail-oriented, results-driven finance accounting professional with more than 8 years of experience international exposure in financial management accounting, budgeting cash flow, bank recompilations and business management. Adept at designing robust financial model reports to facilitate executive-level decision making
Possesses strong analytical skills with demonstrated ability to streamline business operations that drive growth, increase efficiency and achieve bottom-line results. Focused on maintaining high level of accuracy, efficiency and customer services
Seasoned financial expert, recognized for sound decision-making abilities, business acuity and problem solving skills. Organized individual with demonstrated expertise in financial systems, accounting operations possesses uncanny ability to collaborate effectively with business managers to resolve variance, refine forecasts and opportunities for improvement
Persuasive and concise communicator, experienced in dealing with all levels of management in varied industries and coaching subordinates for greater productivity. Skilled individual, able to resolve conflicts and overcome obstacles with prowess for the smooth execution of projects detailed oriented, having ability to plan, organize, prioritize work effectively
Expertly managing & maintaining financial records & reports, ensuring purchase of materials & supplies is in compliance with Generally Accepted Accounting Principles (GAAP). Designing and implementing filing systems to keep records up-to-date, following procedures for record retention and security of sensitive information, disposing records according to retention schedules & policies
Liaising with clients to resolve issues, maintain fixed asset records, preparing financial statements, managing financial accounts, receipts to be filed into voucher & bank reconciliations and processing staff payrolls. Ensuring payments are made on time, preparing donor & audit reports and making sure of timely preparation and dispatch of payments & procurement documents
Skillfully prepared & processed daily vouchers, maintained documents of all financial activities and ensured their effective filing. Reconciled bank accounts, received and paid out cash, prepared checks, bank receipts and payment vouchers; periodically recorded cash and balance position
Managed finance books, vouchers, files, checkbooks and financial documents, prepared monthly edger accounts, trial balance and balance sheets, compared cash and bankbooks with computer records and changed currency as per requirement
Implemented cost reduction techniques in warehouse transactions, generated daily work logs and audited billing reports. Effectively organized all warehouse activities, managed stock control and planned warehouse resources; issued inventory, dead stock, goods age and consumption reports along with negotiating rates
Prepared monthly financial statements, reconciled bank statements, filed tax returns, recovered funds from distributors, handled cash, prepared vouchers, invoices and quotations