abdul karim kabanda, Accountant Assistant

abdul karim kabanda

Accountant Assistant

IMDAD

Location
United Arab Emirates - Dubai
Education
Bachelor's degree, Business Administration
Experience
12 years, 7 Months

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Work Experience

Total years of experience :12 years, 7 Months

Accountant Assistant at IMDAD
  • United Arab Emirates - Dubai
  • July 2018 to November 2018

 Preparation of accounting data information to directors for company planning.
 Provision of stocks & accounts data to managers for decision making.
 Schedule & planning by use of ERP (Enterprise Resource Planning) as Trainer all modules, avoiding barren and returns of goods to encourage and increase daily sales to company and customer satisfactions.
 Presentation and document filings to maintain records keeping for electronic data supplement
 Periodic stocks taking and routine data reports to end users to promote safety.
 Leadership styles, problem solution hence no time wastage.

STORE MANAGER at Imdad Engineering and Contracting LLC
  • United Arab Emirates
  • January 2009 to January 2016
Store Manager at Steel Rolling Mills Ltd Using ERP Oracle version
  • January 2003 to January 2008

Record Documents and Residence Supervisor NAKASERO workers of ALAM GROUP OF COMPANY.
PERSONAL SKILLS AND RESPONSIBILITIES
•Preparation of accounting data information to directors for company planning.
•Provision of stocks & accounts data to managers for decision making.
•Schedule & planning by use of ERP (Enterprise Resource Planning) as Trainer all modules, avoiding barren and returns of goods to encourage and increase daily sales to company and customer satisfactions.
•Presentation and document filings to maintain records keeping for electronic data supplement
•Periodic stocks taking and routine data reports to end users to promote safety.

  • to

Voucher posting: Cash Bank receipt, Payments, Journals, Invoices, quotations, Petty cash (Steel Rolling Mills) thus physical planning
•Bank reconciliations (Steel Rolling Mills Ltd) for accurate bank balances.
•Cash, Bank deposits, Customer Ledgers reconciliation for updated reports to the directors.
•Branch Cashier for honesty and transparency to the company profitability.
•PAYE, NSSF and LST computation hence regulatory results to both stake holders and Revenue agencies.
•Sales representative, Customer services thus increase on turnover.

Education

Bachelor's degree, Business Administration
  • at Multitech Business SchoolMakerere University Business SchoolCity Star Secondary School of ASt Peter. S
  • January 1998

’ level Advanced Certificate, (Mathematics, Economic, Geography/Art

Specialties & Skills

ACCOUNTANCY
DECISION MAKING
ENTRENAMIENTO
TéCNICAS DE SUPERVISIóN
BANK RECONCILIATION

Languages

English
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