Fuad Iftikhar, Restaurant Accountant

Fuad Iftikhar

Restaurant Accountant

Arab World Restaurant

Location
Oman - Muscat
Education
Bachelor's degree, Accounting, Finance, Audit, Tax and Business studies
Experience
9 years, 11 Months

Share My Profile

Block User


Work Experience

Total years of experience :9 years, 11 Months

Restaurant Accountant at Arab World Restaurant
  • Oman
  • My current job since May 2015

Key Responsibilities:
As a Restaurant Accountants need to be aware of what money is going in and out of the restaurant each day. Keeping track of daily sales and the amount of money spent. Also should be aware of the inventory being held by the restaurant.

-Perform accounting, financial, or administrative tasks as may be required from time to time, quite often on short notice.
-Responsible for payments of electricity and water bills on timely basis.
-Performs analytical review on cost of the inventory and the daily food usage to avoid excess food and costs.
-Prepare income and expense report on a weekly basis for a restaurant manager by analyzing earnings, expenses and inventory.
-Keep aware of reorder level of food stuff and then place order keep track of Purchase orders to suppliers for timely availability.
-Performing administrative duties, such as maintaining schedules, maintaining employees check in and check out register, providing telephone support, filing and maintaining employee’s details.
-Prepare staff salary sheets and perform entries relating to salary that is salary expense, salary payable, allowances given to employees as well as deductions.

Accounts Executive at Muscat Garden Center L.L.C
  • Oman
  • January 2015 to April 2015

Responsibilities:
General Ledger Accounting, Inventory Management, Handling
Accounts Receivables & Accounts Payable. Handling Payroll, Cash Management, Preparing Components of Financial Statements.

- Assisting assistant manager accounts in ensuring full implication of international financial reporting standards (IFRS) and international accounting standards (IAS).
- Assisting assistant manager accounts to preparing monthly financial statements.
- Verifying Bank reconciliation statements for all company bank accounts.
- Compile and analyze financial information to prepare entries to accounts, such as general ledger accounts.
- Preparation of Journals, accounts analysis and reconciliation.
- Support accounts assistant for month end closing of accounts and stock sheet.
- Maintain ledgers of all branches on accounting software on daily basis.
- Posting of received cheques and cash on daily basis as well as ensuring the posting of online deposit slips.
- Tally every client record of its outstanding balances with the ledgers.
- To handle accounts receivables and payables along with their advances. At the end of every month, reconcile these with Debtor’s and Creditor’s Control accounts.
- Prepare aging report for accounts receivables as well as for accounts payable whereas necessary.
- Prepare Staff Salary Sheets and perform entries relating to salary that is salary expense, salary payable, allowances given to employees as well as deductions.
- Maintain employee’s files and to ensure that these files of employees are up to date

Accounts Intern at Al Kawther International L.L.C
  • Oman
  • June 2014 to December 2014

Key Responsibilities:
General Ledger Accounting, Handling Accounts Receivables & Accounts Payable, Handling Payroll and Preparing Components of Financial Statements.

-Preparing Quotations for the projects after confirming terms which are agreed between owner manager and the client.
-Maintaining the Debtors aging list on monthly basis and send reminders to the debtors on the timely basis.
-Processing the worker’s salary on monthly basis.
-Performs day to day cash and bank transactions.
-Monthly bank reconciliation statement of the company’s bank account and resolve any differences in a timely manner.
-Monthly prepare suppliers outstanding aging report with credit terms.
-Monthly prepare cheques of supplier, salaries, and rent payments.
-Responsible for the collection of cheques and cash from project debtors on timely basis.
-Maintain and verify Trail Balance, Statement of Profit and Loss and other Comprehensive Income and Statement of Financial Position.
-Preparation of payroll, after confirming hours from time card.
-Managed petty cash and reimbursed according to the need.

Education

Bachelor's degree, Accounting, Finance, Audit, Tax and Business studies
  • at Oxford Brookes University
  • March 2015
Higher diploma, ACCA, Accounting, Finance, Audit and Tax
  • at The Association of Chartered Certified Accountants
  • June 2014
Diploma, Advanced Diploma in Accounting and Business, Accounting, Finance, Audit, Tax and Business studies
  • at The Association of Chartered Certified Accountants
  • February 2012
Diploma, Certified Accounting Technician, Accounting, Finance and Audit
  • at The Association of Chartered Certified Accountants
  • June 2010
High school or equivalent, Science, Computer, Math, Physics & Chemistry
  • at Jadeed Dastgir Ideal high School
  • August 2008

Specialties & Skills

Bookkeeping
Financial Reporting
Financial Accounting
Analytics
Accounting
Accounts Payables
Inventory Managment
Microsoft Office
Business Excel
Accounts Receivables
Telly 9 Accounting Software
Quick Books Accounting Software
Peachtree Accounting Software
Financial Reporting
Microsoft Word & Excel
Bookkeeping
Accounting

Languages

English
Intermediate
Arabic
Beginner
Urdu
Expert
Punjabi
Expert
Hindi
Expert

Training and Certifications

Charcter Certificate from High School (Certificate)
Date Attended:
August 2008
Professional Ethics (Certificate)
Date Attended:
February 2012