Ifthiqaar Hyder, ACCOUNTANT

Ifthiqaar Hyder

ACCOUNTANT

Diplomat Group W.L.L.

البلد
قطر - الدوحة
التعليم
دبلوم, E-Finance-Tally VAT enabled, Peachtree, Focus
الخبرات
13 years, 10 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :13 years, 10 أشهر

ACCOUNTANT في Diplomat Group W.L.L.
  • قطر - الدوحة
  • مايو 2012 إلى أكتوبر 2023

• Preparation and accounting of Journal vouchers/ Provision entries.
• Ensures purchase orders receiving and invoices are matched before processing.
• Processing Sub-contractors invoices for payments as per their contract terms.
• Maintaining Accounts Receivable(AR), Follow-ups and Reconciliation.
• Maintaining Accounts Payable (AP) Process and Reconciliation.
• Dealing with banks on day-to-day basis and Bank Reconciliation.
• Intercompany Reconciliation.
• Monitoring Letter of Credit/ Letter of Guarantee and PDC Cheques.
• Checking monthly site-wise stock reports for various projects.
• Handling petty cash and reimbursement of employees bills.
• Preparing monthly site wise salaries and processing for further approvals.
• Preparing employees leave and final settlements as per time deadlines.
• Verification of vouchers and involved in auditing.
• Proper filing of all documents for future reference and other general accounting duties as assigned.

ACCOUNTANT في Abhiman Jewellery Showroom
  • الهند - Udupi
  • أبريل 2011 إلى مارس 2012

• Passing of Slips/ Vouchers connected to expenditure/ Income items.
• Maintaining Daily Receipts and Payment entries.
• Maintaining Stock Register with inward and outward stock balance.
• Preparation of Day Book and daily closing of accounts.
• Maintaining Cash /Bank accounts and Reconciliation.
• Preparing MIS report.
• Preparing and Filling of Sales tax.
• Coordinating with External auditors for finalization.

ACCOUNTANT/ASSISTANT AUDITOR في Chartered Accountant Firm (Udupi-India)
  • الهند - Udupi
  • أغسطس 2009 إلى فبراير 2011

• Handling books of accounts of various companies/clients.
• Bank Reconciliation.
• Reconciliation of Ledger Accounts.
• Cross checking of journal and ledger books.
• Auditing the invoices and vouchers as per their accounts.
• Submitting Income tax and Sales tax returns in time to the respective depts.

الخلفية التعليمية

دبلوم, E-Finance-Tally VAT enabled, Peachtree, Focus
  • في Manipal Institute of Computer Education
  • نوفمبر 2010
بكالوريوس, Bachelor of Commerce
  • في MANGALORE UNIVERSITY
  • مايو 2009
دبلوم, Basic Computer Application-MS-DOS, WORD, EXCEL, POWERPONT & INTERNET
  • في National Institute of Software Education
  • نوفمبر 2008

Specialties & Skills

Leadership
Communication
Excellent Computer
Teamwork
ACCOUNTS PAYABLE
ACCOUNTING
PETTY CASH
RECONCILIATION

اللغات

الهندية
متمرّس
الانجليزية
متوسط
الأوردو
اللغة الأم
الكانادا
متمرّس