Ashpaque Khan, Accountant General

Ashpaque Khan

Accountant General

Hills Advertising LLC

Lieu
Émirats Arabes Unis
Éducation
Baccalauréat, Law(LLB)
Expérience
17 years, 8 Mois

Partager Mon CV

Empêcher usager


Expériences professionnelles

Total des années d'expérience :17 years, 8 Mois

Accountant General à Hills Advertising LLC
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis novembre 2014

 Preparation and maintenance of all accounting books of account and records.
 Proper follow up with the respective business unit to ensure that bills are submitted in time for Accounts Payable and Receivables.
 Account for expenses like Salary, accrual of monthly expenses, accounting for leave encashment, gratuity, rent straight-line accounting & cash based incentive. All of these to be accounted based on proper working and sign off from the manager. All work papers to be retained for future reference. All provision created for the month should be reversed out on the 1st Business Day of the following month.
 To review monthly cross charge of the expenses from other Associate entities. Ensure to collect appropriate supporting document for all of these cross charge.
 To compute the monthly billing as per the Master Service Agreement, to generate export invoice, and related accounting. All evidence to show computation of monthly billing to be retained.

 Complete all of internal audit work assignment within the time given.
 Reconciliation of Bank statement and supplier statement analysis.
 Petty cash analysis, Preparation of Invoices of customers and Receivables.
 All Financial Reports for the financial position of company.

Process Specialist à Cognizant Technology Solutions
  • Inde - Hyderabad
  • octobre 2011 à septembre 2014

Supervising End to end Accounts payable from invoice processing to payment to supplier, Reconciliation of accounts for clients. End to end Accounts Payable/Procure to pay experience along with Accounting/Finance, banking, Insurance and FMCG Clients. Record Keeping of all payments, supplier statement reconciliation.  End to End Accounts and Payable process (P2P) and coordinating with GL team for month end & year-end close.
Reconciliation and open/pend item analysis, Journals, GL, P&L, Balance sheet.
Booking invoices / booking of payments for all suppliers.
Reconciliation of stock (raw material, packaging material etc.) with regular basis physical stock counts
Documents financial transactions by entering account information.
Good team handling experience with excellent peer relationship and JD as per requirement.
Book keeping to finalization of accounts and reporting the same to manager.
Asset Management and ensures follow-up with internal stakeholders to resolve insufficient and inaccurate accounting information.
Sourcing and procurement and petty cash transactions.
Standard Operating Procedure - Preparation of SOP for each activity in the process, which serves as an operational guide to the users, provides an idea about the scope of work and responsibilities.
Audit and maintaining audit report, PO creation and 3/2 way matching with GRN and Invoice.
Frequent contact with client and purchasing group leaders (email, calls & Video Conference).
Processing of invoices with Query management and pending invoices analysis.
Month end closing and year end closing activities.
Conducting regular training needs analysis (TNA) and training need identification (TNI) for operations teams; Review and supervise training development.
Quality Analyst, floor support, clarification and approving payments.
Tax analysis on company and income tax act as per client requirement.
Good analytical procedure of financial accounting as per client requirement. Good working knowledge in HR/PRO and Training also.

Process Developer à Genpact
  • Inde - Hyderabad
  • juin 2007 à octobre 2011

One of the fastest growing services Industry worked in Finance & Accounts process for three major clients with end to end knowledge Finance & accounts and financial analysis.
Accounts payable process end to end and journals, Reconciliation, Payments for books of accounts
HR and training single point of contact.

Customer Service Representative à R Tec Pvt ltd
  • Inde - Mumbai
  • juin 2006 à mars 2007

Semi voice based process relates to customer queries regarding various product plans and sale of plans. Reporting to Team Leader for all monthly production of team members. Maintenance books of accounts, trial Balance P&L, and preparation of balance sheet.

Éducation

Baccalauréat, Law(LLB)
  • à Utkal University
  • mars 2004

LLB Regular

Diplôme, Chartered Accounting
  • à ICAI
  • mai 2001

Worked as intern for chartered Accounting Article ship for 2 years in a chartered accountancy firm as per the rules of ICAI. Learnt preparation, Audit and Finalization of Accounts. Also did banking audit, statutory audit and stock audit as a Chartered accounting student. However did not complete CA and discontinued due to certain reasons.

Baccalauréat, Accounting (B.com)
  • à Utkal University
  • septembre 1999

Bcom with Accounting Honors, passed 1st class with distinction

Etudes secondaires ou équivalent, Commerce(Accounting)
  • à Ravenshaw College
  • septembre 1996

❖ Intermediate from Ravenshaw College. Cuttack (Orissa)

Etudes secondaires ou équivalent, As per Syllabus. Math, Science
  • à Board of secondary education

❖ HSC from Board of secondary education Cuttack (Orissa)

Specialties & Skills

Banking Domain
Procure to Pay
Finance Operations
Accounts Payable
Accounting
MS Office
Ms office
People management

Langues

Bengali
Moyen
Anglais
Moyen
Urdu
Moyen
Hindi
Moyen

Formation et Diplômes

ICAI Articleship (Certificat)
Date de la formation:
August 1999
Valide jusqu'à:
May 2001

Loisirs

  • Playing Cricket, Listening to music, making friends,
    Represented district and college level cricket.