An MBA finance professional with more than 8 years of experience gained within financial Accounting sector
and internal auditing. Considerable exposure to dynamic cultures. A hands-on problem solver with a high rate
of achievement in demanding, dynamic environments where a can-do attitude has been critical to success.
Strong analytical and communication skills have been combined with a flexible approach in order to make
connections at all organization levels. A results orientated individual, delivering to the highest possible
standards, while adopting an empathetic/collaborative style.
Purchase rate Implementation/ Checking/ and Discount and policy Incentives Calculation
Coordination with inventory department. Suppliers Ledger Reconciliation
Suppliers Payment Reconciliation /Follow ups With Accounts & Tax department.
Discount working and Policy implementation/ made adjustments if require.
Direct Interaction with Suppliers / Visit physically their Head offices.
Coordination with suppliers regarding reconciliation/ support Manager Reconciliation. Coordinate
/Support Purchase Personals
Calculation of Lower Portion compares it with Purchase on daily basis.
Every especial Task assigned by Sr. Official (According to Priority)
Project and Job order Costing. Preparations & Maintenance Purchase and Sales Records.
Monthly reconciliation of bank accounts with ledgers.
Preparation of financial reports including Balance sheet & Income statement
Prepare aging reports and accounts receivable reconciliations and preparing necessary reports.
Accounts receivable and payable management.
Yearly and Monthly system closing and passing of all necessary Payments, Receipts & JV’s.
Sending MIS (Management Information System) Report to Management.
Preparing Annual Budgets. & Liaison with External & Internal Auditors.
Prepare All Type of Vouchers (Cash Payment Vouchers, Bank Payment Vouchers, Receipt Vouchers & Journal
Vouchers)
Preparation and Posting of Sales Invoices & Preparation of Bank Reconciliation Statement
Payments follow up with receivables. & planning, preparation of Supplier payment on daily basis.
Handling & Managing Petty Cash. & Account reconciliation with supplier and customers. Preparing Monthly
payroll and employee benefit.
Project and Job Oder Costing. & Closing of Accounts Monthly and Yearly.
Preparation Bank Reconciliation Statement and Preparation A/P & A/R Reconciliations & Handling & Managing
Cash. Prepare Monthly Accounts Receivable & Accounts Payable analysis.
Preparations & Maintenance Sales Records & Preparations & Maintenance Purchase Records.
Shipment Costing of Import Consignment. Preparations all Type of Vouchers Petty Cash Payment, Bank
Payment, and Receipts & Journal Vouchers and Posting in to the General Ledger
Verification of All Type of Vouchers Specially Sales, Purchase, Receipt and Payment Vouchers.
Verification of Debit and Credit Note of Sales and Purchases and Inter Company Reconciliation.
Physical Stocking Taking Quarterly, Semi Annually. Verification of All Production Processes.
Verification of Factory Payment Vouchers and Closely Checks on Authorization.
Cash Count and Verification of Cash Payment Vouchers and Verification of All Bank Reconciliation.
Verification of Import Letter of Credits Evaluation and Verification of All Contractor Invoices for All New
Projects.
Verification of Project and Job order costing. Closing of Accounts Monthly and Yearly.
Verification Preparation of Accounts Payable & Accounts Receivable and Bank Reconciliation Statement.