Fahad Dabir, Senior Accountant

Fahad Dabir

Senior Accountant

DAMAS JEWELLERY LLC

Location
United Arab Emirates - Dubai
Education
Diploma,
Experience
16 years, 4 Months

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Work Experience

Total years of experience :16 years, 4 Months

Senior Accountant at DAMAS JEWELLERY LLC
  • United Arab Emirates - Dubai
  • July 2006 to January 2019

• Consolidation of profit and Loss Account and Balance Sheet of the subsidiary companies.
• Manage month and year end closing process,
• Handling Accounts Payables/Receivables, cash receipts, General ledger, Treasury, Budgeting, and revenue and expenditure.
• Oversee Accounts receivable control by exception for cash, credit Card, GV, Deposits.
• Processing Employees and vendor payment.
• Accounting for fixed assets, Verification and Depreciation.
• Gold bullion fixing with the Banks and Dealers.
• Generate provision and accruals for expenses.
• Recording and verifying Petty cash expense for local and overseas regional.
• Supervise Marketing budget and approve the LPOR within the limit set.
• Reconciliation of incoming and outgoing bank transaction with main Bank Account.
• Daily reconciliation of Revenue and receipts.
• Audit, rectifying and posting of Parked and suspense transactions.
• Preparing Inventory reports by verifying Physical and system Stock.
• Liaison with internal and external auditors, Third parties, banks and regulatory agencies
• Manage statutory compliance e.g. VAT returns and filling returns.
MIS
• Regional comparative sales report to the top Management on daily basis.
• Coordinating with payroll for staff incentive and commission.
• Generate and consolidation of inventory report for subsidiary company
• Generate cash flow statement to ensure sufficient funds are available for operational investment.

Senior Accountant at ANMOL IMPEX
  • India - Mumbai
  • July 2003 to February 2006

 Responsible for maintaining Accounts Payables & Accounts Receivables
 Handling Bank work related to export Letter of credit, Bank & export Realization.
 Preparation and Handling commercial, Transport & Govt.export documents
 Preparation of monthly Bank Reconciliation Statement.
 Monitor the stock movement and manage reorder level
 Booking of Prepaid Expenses and amortization into monthly
 Maintained cheques receipt / issued details
 Preparation of final settlement of the employees
 Prepare monthly employees expenses analysis, verify the variances from budgeted & recommend management for elimination of those variances.
 Verify the Petty Cash vouchers prepared by assistants.
 Maintaining Employee Time Sheet work on projects
 Analyze financial accounts and provide detailed report to the Accounting Manager to prepare a Payment Certificate

Accountant at Vidcast Engineering Pvt .Ltd
  • India
  • June 2002 to June 2003

1) Responsible for maintaining Receivables & Payables details.
2) Record all Purchases & Sales transactions, give monthly report of Sales and Purchases and keep invoices in order.
3) Responsible for maintaining the Stock and the re-order level.
4) Performed supervision of Bank Reconciliation, prepared monthly reconciliation statement of daily cash collection.
5) Record all expenses like Conveyance, Salaries etc.
6) Preparation of monthly Profit & Loss a/c.
7) Preparation of monthly Balance Sheet.
8) Audit of Purchase, Sales registers & expenses at the time of finalization.

Education

Diploma,
  • at Institute of Chartered Accountants of India
  • December 2004

INTER CA (PROFESSIONAL EDUCATION EXAMINATION-II) (From Institute of chartered Accountants of India)

Bachelor's degree, Finance and Auditing
  • at Mumbai University
  • April 2002

B.COM (FINANCIAL ACCOUNTING & AUDITING, BACHELOR) (From Mumbai University in the Year 2002)

Specialties & Skills

Accounting
Preparation
Balance
 MS-Word 2010  MS-Access  MS-Power Point 2010  MS-Outlook  MS-Excel: o V-lookup-Lookup o Pivot
 Microsoft Business Solutions – Navision  Dynamic AX (AXAPTA)  Tally 9 ERP Peachtree 

Languages

English
Expert
Hindi
Expert