概要

A dynamic and performance-driven professional with more than 9 years of successful experience in leading manufacturing, trading & service organizations. A good track record of timely provision of financial and business information to the higher management and to facilitate them in making good business decisions.

工作经历

公司标识
Senior Accountant
Blue Haven Pools & SPA
Nov 2016 - Mar 2019 | Abu Dhabi, United Arab Emirates

Noteable Achievements
*         Awareness of business trends, highlighting trends and analyzing causes of unexpected variance
*         Monitored vehicle maintenance through the logbook and collaborative efforts with the logistics department resulting in a 30% decline in fuel consumption.
*         Controlled & reduced the cost of outsourcing labors up to 70% by utilizing our multi-skilled labor force at different new projects.
*         Reduced the cost of labors transport by moving the labor's accommodation near the new sites.
*         Increased the sales volume by sending quotations to new clients on time, taking site measurements, delivering material and by the completion of work as per contract terms.
*         Managed and efficiently utilized the funds by extending credit terms with suppliers and contractors.
*         Maintains accounting controls by preparing, recommending and implementing the accounting policies and procedures in the Company.
Key Responsibilities
·               Prepares revenue, expenses, asset, liability, and capital account entries by compiling and analyzing account information.
·               Manage and control Office, Operating & Capital Expenditures within the budget and as per financial forecast.
·               Coordinate with Project Managers & Engineers regarding contract documents, change order, contract modifications, approvals, and any additional services relating to billing and finance related issues.
·               Maintain the billing folders for all projects, with all the appropriate documents, including expenses, consultant invoices, and monthly invoices, in accordance with standard procedures.
·               Quick cash projection report, collections & payables, generate and distribute weekly receivables reports.
·               Making the payments to vendors & subcontractors as per agreed terms after verification of documents, completed work and approvals of management.
·               Ensuring compliance of VAT collection, review, consolidation, preparation & manually reconcile, Filing and payment of Quarterly VAT Returns. 
·               Analyze on Monthly Basis Profit & Loss account of all the Running Jobs/Projects.
·               Liaise with banks and carry out all banking transactions including Cash & Cheques depositing, updating PDC Schedule, Cheque Discounting, Credit Facilities, and Bank Guarantees.
·               Conducts monthly closing which includes prepayments, accruals, adjustments, provisions, bank reconciliation, financial reports and validation of AR and AP accounts.
·               Prepare accurate, timely & error free Balance Sheet, Income & Cash Flow Statements following applicable IAS & IFRS on month & year-end. 
·               Examines analyzes and interprets financial statements to provide insightful information and expectations to senior management to aid in short-term and long-term decision making.
·               Liaisons and coordination with External Auditor in conducting Audit at Year-End and management in respect of their reports and observations.

公司标识
Accountant General
Future Stars Furniture LLC
Mar 2014 - Apr 2016 | Dubai, United Arab Emirates

·   Prepare customer invoices, set payment terms and send statement on monthly basis.
·   Regularly follow the clients & pushing the sales team for receiving payments on time.
·   Maintains customer confidence and protects operations by keeping financial information confidential and taking database backups.
·   Send purchases order to local & foreign suppliers and follow to customs clearance agents until the receipt of goods. 
·   Prepare documents for releasing goods from the Customs Authority.
·   Verify invoices to check the quantity, unit price, amount, and applicable federal taxes against the purchase order and receiving advice.
·   Prepare Telex Transfer to Foreign Suppliers. 
·   Controlling debtors/creditors, aging analysis and reporting to management.
·   Planning & managing operational activities, daily petty cash, advance payments and all reimbursement issues for staff, travel expenses, RTA Fines, vehicles license & insurance renewal, passing, repair & maintenance.
·   New employee’s registration & opening Bank Accounts, annual renewal of staff medical insurance, liaising with MOL for staff Visa Processing, Visa Cancellation & Final settlement in accordance with company policies and Law of UAE
·   Recording daily staff attendance, overtime and Preparation & processing monthly payroll as per WPS.
·   Follow & reconcile all the Credit Cards/ Bank Loan Payments.
·   Effectively manage the accounting team through respectful communication, clear expectations, relevant training, productive coaching, regular meetings, and appropriate performance management.

公司标识
Accountant
Al Quoz Pvt. Ltd. (Paint Manufacturer)
Mar 2012 - Nov 2013 | Lahore, Pakistan

 Preparing daily Purchase, Sales & Bank Activity Reports.
 Supervision and control of payroll in all respects including staff benefits.
 Responsible for all client communications, conflict resolution, and compliance on client deliverables and revenue.
 Managing Receivables like reporting on aging, ensuring timely posting of sales invoices and making follow ups for payments.
 Responsible for managing payables like matching information with purchase orders, goods receipt note and posting of invoices in the supplier’s ledger.
 Supervise stock taking team on monthly basis.
 Gathering budget proposal from Departments and Compilation of Master Budget.

公司标识
Accounts Officer
Chanar sugar mills ltd
Dec 2007 - Nov 2010 | Lahore, Pakistan

 Arrangements and making Daily Funds Report.
 Make & checking of Petty Expenses at Weekly Basis.
 Preparation of Bank Reconciliation Statements.
 Record the Sales Vouchers as well as Reconcile Sales Parties ledgers.
 To Assist in ISO Audit at Six Month Basis.
 To Make Creditors, Contractors Payment and Make Approvals.
 To Make Cane Payment to Growers.
 Coordinate with External Auditors in conducting Audit.
 Supervision of Payroll Section regarding its accuracy and posting in the system.
 Checking & Payment of EOBI & Social Security.

学历

Virtual University of Pakistan
硕士, 工商管理硕士学位, Masters in Business Administration Finance‎
Financial Statements Analysis, Corporate Finance
CGPA 2.4/4
2011

技能

熟练 Aging Analysis of Debtors & Vendors
中级 Communmication Skills
熟练 GAAP
熟练 Handle Outbound Calls
熟练 Handling Assignments
熟练 IFRS
熟练 Japanese & Korean Language Proficiency
熟练 Managing Midsize Teams - 5 to 20 People
熟练 MySQL
熟练 Ordinance Knowledge
熟练 Payroll Processing
初学者 Peachtree Command
熟练 Private Limited Companies
初学者 Sales Tax Act Knowledge
熟练 Social Welfare Management
熟练 Stock Control
中级 Tally ERP 9
熟练 تخصيص المركبات

语言

熟练 旁遮普语
熟练 印度语
熟练 乌尔都语
熟练 英语

Kashif 联系人

Muhammad Ghazanfar Ali Khan
Systems Limited
Mian Shafiq Rehman
Naseeb Online Services (Pvt.) Ltd.
Waseem Iqbal
Dubai Islamic Bank Pakistan Ltd
Umair Tahir Chughtai
KOVERAJ & NOVERTICA INTL.