I am an experienced Accountant with more than eight years of experience in Pakistan and in UAE in the field of Accounting and Finance.
• Prepared annual budget statements and monitor head-wise budget utilization.
• Performed Treasury function which included loan scheduling, payments and enhancing credit facility.
• Ensured proper accounting methods for financial accounting and supervising month end / year end closing activities.
• Monitored inventory and computing cost of goods sold.
• Updated collections and payments through ERP system.
• Analyzed and advise on business operations including revenue and expenditure trends, financial commitments and future revenues.
• Maintained Asset register of fixed assets.
• Updated financial models and preparing 4 year business plan
• Income tax and sales tax filling.
• Performed treasury function, arranged loans, LC documentation and banking facility.
• Prepared special reports as requested by the senior management on business and financial risk, financial reporting and MIS.
• Processed the monthly payroll using Payroll Management.
• Prepared and handled the T/R, LBD import and export documentation (L.C).
• Prepared and handled the SHORT TERM AND Medium TERM LOAN documentation.
• Prepare reconciliations of Bank statement, Account payable and Account receivable periodically.
• Prepared and reviewed budget, revenue, expense, payroll entries, invoices, and other accounting documents.
• Managed and monitored collection activities(Receivable Management) such as sending follow-up inquiries GCC and Outside the GCC, negotiating with past due accounts, keeping track of cash receipts and referring accounts to management of 90+ days overdue.
• Examined and verified cash payment, cash receipt, bank payment,bank receipt and journal vouchers of the company.
• Incorporated VAT into the accounting system. Developed SOP for VAT implementation in the accounts department.
• Calculation of monthly depreciation charge and allocating to relevant heads – Comparison of asset register with accounting records to verify the balances on monthly basis.
• Involved in Financial reporting process.
• Preparing bank reconciliation statement,supplier reconciliation and customer reconciliation.
• Managed vendor accounts, generating weekly on demand cheques.
• Preparing invoices and LPO.
• Involved in making receipts and payments through ERP SAP financial system.
• Making Employee payroll.
• Resolved all tax filling matters.
• Restructured/Revised whole Chart of Accounts and verified all the previous records through cross verifications.
• Prepared cash flow statements and budgets.
• Performed inventory evaluation on timely basis.
• Involved in credit control process.
• Performed ratio analysis on financial products
• Made risk analysis of financial banking products.
• Informed customers about various investment products.