Total Years of Experience: 14 Years, 11 Months
September 2021
To Present
Finance Manager
at Etqan Projects
Location :
Saudi Arabia - Riyadh
I am managing accounts from my Home.
April 2021
To October 2021
Deputy Manager Audit
at Dar e Arqam schools
Location :
Pakistan - Lahore
-School Branch Audits
-Pre and Post audit
-Verification of Bank Reconciliation
- Audit Report
- expenses reports
- Recovery Reports
-Pre and Post audit
-Verification of Bank Reconciliation
- Audit Report
- expenses reports
- Recovery Reports
May 2019
To February 2021
Manager Accounts
at The Punjab School System Limited
Location :
Pakistan - Lahore
Based on Head Office of TPSS, I am working closely with the Higher Management of TPSS
Supervising a team of accountants at different campuses for daily accounting matters including
Payments
Tax matters
Salaries
FBR Iris system
Inter Campus Reconciliations
VAT Sales Tax
Liaison with Internal and External Auditor
Supervising a team of accountants at different campuses for daily accounting matters including
Payments
Tax matters
Salaries
FBR Iris system
Inter Campus Reconciliations
VAT Sales Tax
Liaison with Internal and External Auditor
February 2013
To September 2016
Chief Accountant
at www.bayt.com
Location :
Saudi Arabia - Riyadh
Monthly reporting P&L and B/S local KSA accounts
Detailed Revenue analysis with trend reporting
Monthly Withholding Tax submission to Zakat Departments DZIT
Coordination with Auditors for Yearly financial reports and Tax submission
Cash management
Sales Approvals
Inter company transactions
Inter company reconciliations
Detailed Revenue analysis with trend reporting
Monthly Withholding Tax submission to Zakat Departments DZIT
Coordination with Auditors for Yearly financial reports and Tax submission
Cash management
Sales Approvals
Inter company transactions
Inter company reconciliations
March 2008
To February 2013
Senior Accountant
at www.bayt.com
Location :
Saudi Arabia - Riyadh
1-Authorizing sales packages with their prices and periods offered, and activating the packages to our website from internal Customer Relationship Management Program CRM
2- Follow up with clients for collection on Credit Sales.
3-Completion of monthly accounts, with assuring all revenue and expenses bookings within specified deadlines
4- Preparation of monthly reporting package for management, showing differences from budgeted targets, and growth in sales from last month, last year same periods, also showing productivity analysis of Sales Team Members.
5-Assisting Chief Financial Officer in preparation of Yearly Budgets and other management reports.
6-Finalizing Yearly financials for Auditors accompanies with required schedules
7-Made Flow charts to improve proficiency of activities for Sales People using MS Visio 2007.
8-Presenting to Finance Team Tips and Tools in monthly staff training program
2- Follow up with clients for collection on Credit Sales.
3-Completion of monthly accounts, with assuring all revenue and expenses bookings within specified deadlines
4- Preparation of monthly reporting package for management, showing differences from budgeted targets, and growth in sales from last month, last year same periods, also showing productivity analysis of Sales Team Members.
5-Assisting Chief Financial Officer in preparation of Yearly Budgets and other management reports.
6-Finalizing Yearly financials for Auditors accompanies with required schedules
7-Made Flow charts to improve proficiency of activities for Sales People using MS Visio 2007.
8-Presenting to Finance Team Tips and Tools in monthly staff training program
June 2006
To December 2007
Senior Accountant
at Fawaz Al Hokair Holding Company
Location :
Saudi Arabia - Riyadh
-Assigning work to accountants
-Handling Inter Company Transactions and making a monthly Reconciliation
-Reviewing Trial balance
-Recording of Accruals like Depreciation. Amortization, Employee leaves Provisions, and employee graduity
-Handling LG and LC transactions
-Assistance to reporting manager in monthly reporting of financials
-Assistance in evaluation of new business opportunities
-Completion of Yearly accounts according to KSA law
-Handling Inter Company Transactions and making a monthly Reconciliation
-Reviewing Trial balance
-Recording of Accruals like Depreciation. Amortization, Employee leaves Provisions, and employee graduity
-Handling LG and LC transactions
-Assistance to reporting manager in monthly reporting of financials
-Assistance in evaluation of new business opportunities
-Completion of Yearly accounts according to KSA law
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