Feroz Nayeem, Sr. Accountant

Feroz Nayeem

Sr. Accountant

Zahid Tractor & H.M. Ltd

البلد
المملكة العربية السعودية - جدة
التعليم
بكالوريوس, Finance
الخبرات
13 years, 11 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :13 years, 11 أشهر

Sr. Accountant في Zahid Tractor & H.M. Ltd
  • المملكة العربية السعودية - جدة
  • أشغل هذه الوظيفة منذ يوليو 2021

SAP ERP ECC6 - Functional Consultant and End User (Training Course)
•Received Best Employee Award - Proactively Doing Multitasks and Minimizing the time by using Automation

Professional Summary

Accounts Payable (P2P)
•Processing Vendor Invoice
•3 Way Match Processing of Invoices
•Processing Vendor Payments on time as per payment terms
•Vendor Payments Auditing
•Intercompany Payments
•Prepare Vendor Aging
•Review Accounts Payable and Tally with General Ledger on monthly Basis
•Vendor Queries
•Vendor Reconciliation
•Vendor Balance Confirmation
•Prepare Credit Note / Debit Note
•Track Expenses and Process expense reports
•Accruals for Expenses and other Payments
•Petty Cash - Main Daily Records of Receipts and Payments




Accounts Receivable (O2C)

•Cash Application (Customer Collections)
•Customer Billing
•Preparing Customer Order
•Creating Customer Invoices
•Customer Reconciliation
•Customer Balance Confirmation
•Investigating and resolving any irregularities or enquiries
•Debtors Aging & Forecasting
•Prepare Customer Statement
•Banking Transactions (Deposits, Payments)
•Perform Day to Day Financial Transactions, Including Verifying, Classifying, Computing, Posting and Recording Accounts Receivables Data
•Visit to Customer for Collection
•Meeting with Customers
•Collection Reports

Credit Control

•Proactively Managing and Collecting Debts of Company Debtors
•Evaluating New Credit Applications and Reviewing Customer’s Credit Ranking
•Set the Payment Terms for Customers
•Ensure Customers Pay on Time
•Meet Cash & Debtor Day Targets Set by The Company
•Follow up overdue Invoices
•Propose Write off Irrecoverable Receivables

Management Information System

•Prepare Profit & Loss Account
•Prepare Balance Sheet

Budgeting & Planning

•Coordinate with All Departments for Formulating their Budget Submissions
•Controlling of the Operation Expenses Documents in Daily Basis Aligning with Budget Control Procedure
•Preparing monthly Reports showing actual expenditures versus budget, including variances and the reasons.
•Maintain Database of monthly Financial analysis reports and Budget modifications
•Provide Guidance to other departments Heads to Understand Financial Reports and Data, in Controlling their Costs and Activities, and in Fulfilling Targets




VAT Filling

•Prepare VAT Returns (INPUT/OUTPUT)
•VAT Reporting’s
Payroll
•Employee Salaries (WPS)
•Employee Queries
•Employee Vacation Salaries
•Employee End of Service and Benefits
•Employee Housing Allowances

Internal Auditing
•Auditing of Invoices (Accounts Receivable & Payable)
•Audit Expenses & Payments
•Audit - Creditors & Debtors as per contracts on monthly basis

Bank Reconciliations
•Posting Incoming Payments
•Posting Outgoing Payments
•Prepare Monthly Bank Reconciliation

General Ledger
• Journal Entry Postings
•Clearing General Accounts
•Maintain Prepaid Accounts(Rents, Medical, Insurance Etc)

Letter of Credit (LC)
• Prepare LC Documents
•Receiving and Submitting LC documents to Banks
Bank Guarantees
• Prepare and Submit to Bank

Employers’ Details
•Zahid Tractor Jeddah - Saudi Arabia

Accounts Officer في AL Batha Engineering
  • المملكة العربية السعودية - جدة
  • فبراير 2019 إلى يونيو 2021

Accounts Receivable (O2C)

• Cash Application (Customer Collections)
• Customer Billing
• Preparing Customer Order
• Creating Customer Invoices
• Customer Reconciliation
• Customer Balance Confirmation
• Investigating and resolving any irregularities or enquiries
• Debtors Aging & Forecasting
• Prepare Customer Statement
• Banking Transactions (Deposits, Payments)
• Perform Day to Day Financial Transactions, Including Verifying, Classifying, Computing, Posting and Recording Accounts Receivables Data
• Visit to Customer for Collection
• Meeting with Customers
• Collection Reports

Credit Control

• Proactively Managing and Collecting Debts of Company Debtors
• Evaluating New Credit Applications and Reviewing Customer’s Credit Ranking
• Set the Payment Terms for Customers
• Ensure Customers Pay on Time
• Meet Cash & Debtor Day Targets Set by The Company
• Follow up overdue Invoices
• Propose Write off Irrecoverable Receivables

Management Information System

• Prepare Profit & Loss Account
• Prepare Balance Sheet

VAT Filling

• Prepare VAT Returns (INPUT/OUTPUT)
• VAT Reporting’s

Accountant في Saudi Airlines Real Estate Development Company - Sared
  • المملكة العربية السعودية - جدة
  • يونيو 2016 إلى فبراير 2019

Accounts Payable (P2P)
• Processing Vendor Invoice
• 3 Way Match Processing of Invoices
• Processing Vendor Payments on time as per payment terms
• Vendor Payments Auditing
• Intercompany Payments
• Prepare Vendor Aging
• Review Accounts Payable and Tally with General Ledger on monthly Basis
• Vendor Queries
• Vendor Reconciliation
• Vendor Balance Confirmation
• Prepare Credit Note / Debit Note
• Track Expenses and Process expense reports
• Accruals for Expenses and other Payments
• Petty Cash - Main Daily Records of Receipts and Payments


Budgeting & Planning

• Coordinate with All Departments for Formulating their Budget Submissions
• Controlling of the Operation Expenses Documents in Daily Basis Aligning with Budget Control Procedure
• Preparing monthly Reports showing actual expenditures versus budget, including variances and the reasons.
• Maintain Database of monthly Financial analysis reports and Budget modifications
• Provide Guidance to other departments Heads to Understand Financial Reports and Data, in Controlling their Costs and Activities, and in Fulfilling Targets


VAT Filling

• Prepare VAT Returns (INPUT/OUTPUT)
• VAT Reporting’s

Accountant في Karnataka Milk Producers Limited
  • الهند - Gulbarga
  • يونيو 2010 إلى يونيو 2016

Accounts Receivable (O2C)

• Cash Application (Customer Collections)
• Customer Billing
• Preparing Customer Order
• Creating Customer Invoices
• Customer Reconciliation
• Customer Balance Confirmation
• Investigating and resolving any irregularities or enquiries
• Debtors Aging & Forecasting
• Prepare Customer Statement
• Banking Transactions (Deposits, Payments)
• Perform Day to Day Financial Transactions, Including Verifying, Classifying, Computing, Posting and Recording Accounts Receivables Data
• Visit to Customer for Collection
• Meeting with Customers
• Collection Reports

Credit Control

• Proactively Managing and Collecting Debts of Company Debtors
• Evaluating New Credit Applications and Reviewing Customer’s Credit Ranking
• Set the Payment Terms for Customers
• Ensure Customers Pay on Time
• Meet Cash & Debtor Day Targets Set by The Company
• Follow up overdue Invoices
• Propose Write off Irrecoverable Receivables

Management Information System

• Prepare Profit & Loss Account
• Prepare Balance Sheet

الخلفية التعليمية

بكالوريوس, Finance
  • في St. Aloysius International University
  • يوليو 2022

ماجستير, Finance
  • في St. Aloysius International University
  • يوليو 2012

الثانوية العامة أو ما يعادلها, Finance
  • في St. Aloysius International University
  • مايو 2010

بكالوريوس, Finance
  • في St. Aloysius International University
  • مايو 2010

Specialties & Skills

Accounts Receivable
Logistics
Inventory
Accounting
Payroll
ACCOUNTANCY
ACCOUNTING SOFTWARE
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLE
ACCRUALS
AUDITING
AUTOMATION
BALANCE
BANK RECONCILIATION

اللغات

العربية
متوسط
الانجليزية
متمرّس
الهندية
متمرّس
الأوردو
متمرّس