Imran Allaudin, Western Credit Controller

Imran Allaudin

Western Credit Controller

Al Khorayef Lubricant Company (Castrol)

Lieu
Arabie Saoudite - Jeddah
Éducation
Master, Accountancy
Expérience
23 years, 4 Mois

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Expériences professionnelles

Total des années d'expérience :23 years, 4 Mois

Western Credit Controller à Al Khorayef Lubricant Company (Castrol)
  • Arabie Saoudite - Jeddah
  • Je travaille ici depuis juillet 2013

• Approve Sales Orders for Release by system after Check and verifying as per all financial Steps as accordingly.
• Activate any new customer account in system and adjust as per contract the TOP and Credit Limits.
• Handle Monthly Reconciliation of Accounts and as well as Handling monthly the Transactions Reconciliation with customer site by site.
• Check and Reconcile the Monthly Transaction with Branch Accountant.
• Supervise Branch Accountants.
• Handling Bank Reconciliations with Ledger Monthly.
• Handling Sales Reconciliation with Ledger Monthly.
• Handling Inventory Stocks Input and Output Monthly.
• Check Cash safes Time By Time and verified & reporting to Finance Manager.
• Monthly Prepare sales team Collection Targets and Weekly Following with sales team for bring the collection on time.
• Check Collection Target with break downs Invoice by Invoice and Checking the Collection Allocation as accordingly.
• Follow the Customer Provided Payments details as accordingly.
• Maintain Credit Notes and Debit Notes reports monthly for submit to HO Finance for there view and attention.
• Currently Working In Oracle System and Involving in Implementation.

(Area Accountant)-(Credit Controller)-(Accounting) --- (Dammam Br) à M.O.Al-Esayi (Panasonic, National, and Techinics)
  • Arabie Saoudite - Khobar
  • septembre 2005 à juin 2013

• Supervise the Accounts Receivable Team members in the completion of their duties to ensure that cash application is done timely, data posted to General Ledger is accurate, timely, and in compliance with company policies and procedures.

• Import Lock box activity on a daily basis and print out daily reports for distribution to team members. Reconcile lock box clearing account after lock box activity is completed daily. Monitor lock box activity ensuring that journal entries have been prepared for subsidiary checks. Clear checks posted to customer accounts that belong to subsidiaries.

• Review Credit Memo (CM) requests daily for completeness and accuracy. Oversee the Credit Memo Mailbox to ensure timeliness of CM processing.

• Review misapplied cash receipts and to assist and coordinate with COA team to clear cash on accounts. Investigate and resolve "unapplied payments" on a timely.

• Communicate with bank any banking issues such as receiving checks that come into lock box that do not belong to Dealer Track. Investigate any reversal of ACH payments with bank.

• Work with Collections Team members to facilitate collections of A/R. Coordinate with Collections with payment processes (i.e., ACH wire information, credit card authorization forms for delinquencies, etc.)

• Update Customer Master Data in SAP to ensure that updated customer information is reflected on the accounting system.

• Perform administrative tasks such as time and attendance, staff development and performance appraisals; other duties assigned when needed.

• Handling Petty Cash and do replenishment and re-imburse it as per co policy.

• Prepare Sales Team Commissions Monthly as per Company policy provided.

• At the time of Vacation any sales man prepares Clearance.

Senior Accountant à Saudi Light Industries Company. (SLIC)
  • Arabie Saoudite - Jeddah
  • juillet 2003 à août 2005

Handle Invoices and checked on the system as an administrator.
Handle Customer Account Receivable.
Handle Of Supplier Account Payable.
Handle Inventory.
After Inventory finalized the cost of goods sold and give the figure
to Finance Manager for Finalize the Accounts.
Prepare Payment for Vendors.
Actively involve in implementation of visual dolphin.
Approve sales Orders after check Aging of Accounts & Customer
ceiling as per company policies.
Approve and send statements of accounts to customers for
Balance confirmations.
Prepare Bank Reconciliation Statements every month.

Accountant à Sefam Private Limited
  • Pakistan - Lahore
  • mars 2001 à avril 2003

• Maintain daily vouchers
• Petty cash handling
• Maintaining JV’s
• Handling Gernal Ledger.
• Finalize the Financial statement yearly.

Internee Trainer à Allied Bank of Pakistan
  • Pakistan - Lahore
  • août 1999 à novembre 1999

• Handling Checks clearing
• Handling Checks Transfers
• Handling Customer Accounts

Éducation

Master, Accountancy
  • à PAC
  • août 2001

Qualified Pre-entry proportional test & Qualified Foundation (FE-1 & FE-2) CA INTER. PAC Lahore, Pakistan.

Baccalauréat, Commerce
  • à Punjab univercity
  • octobre 1998

Bachelor of commerce. (B.Com)

Specialties & Skills

Accounts Receivable
Accounting
Credit Control
Word, Excel, PowerPoint,

Langues

Urdu
Expert
Anglais
Expert
Arabe
Moyen

Formation et Diplômes

Advance Excel (Formation)
Institut de formation:
Advance and Bsics of Excel
Date de la formation:
May 2016
Durée:
6 heures
Credit Management in Advance (Formation)
Institut de formation:
Professional Credit Management Training
Date de la formation:
July 2016
Durée:
6 heures

Loisirs

  • Reading Books
    Reading Books id good for Increase Knowledge which can be use in existing job status.