EXPERIANCES:-
At present working in Bin Butti Group (Farm Division, Abu Dhabi Poultry Farm)
From May -2013 till date as an Accountant.
Areas of Responsibilities:-
As Credit Controler,
- Keeping customer accounts fully up to date & correct.
- Sharing the accounts statements with customers, getting the payment details.
- Customer Reconciliation w.r.t outstandings, discounts & other periodic issue.
- Cheques/cash collection, continuous follow-up with customers through phone & personal visits, pushing the sales team for collection.
- Reconciliation of Sales Vs Collections, Collections Vs Deposits.
- Bank related works, cheques/cash deposit & withdrawals.
- Generating aging report.
- Weekly Customer Aging analysis, if exceed the payment terms highlighted to Sales team.
- Preparation of Monthly Final Accounts-Control Accounts of receivables.
- Bank Reconciliation.
Payables,
- Verification of purchase documents i.e Purchase Requisition, Purchase Order, Service Purchase Contract, Supplier Invoices etc..
- Cheque preparation based on payment terms .
- Direct transfers.
- Preparation of Monthly Final Accounts-Control Accounts of payables.
- Salesteam commission preparation & payment.
- Staff advance, debtors & creditors balance follow up.
- Preparation of monthly payroll.
- Preparation & coordination with HR relating employee’s leave & final settlements.
MIS Reports, Cash Transactions, Stock & Others,
- Weekly & Monthly MIS reports.
- Handling cash transaction daily from AED 20, 000 to 100, 000
- Cash payment based on petty cash expenses.
- Preparation of reimbursement statements & cheques thereon.
- Budget vs. Actual analysis, highlighting deviation to management.
- Inventory analysis & preparing stock reconciliation.
- Fixed Assets & depreciation schedule follow up.
- Daily work status follow-up for outlets.
From Sep-2008 to Jan-2013. Accounts Executive in Pakistan
NDB Processing & Finishing House Hold Products.
Areas of Responsibilities:-
Local & Foreign, letter of Credit issues.
Payroll Management of more than 200 employees.
Payable & receivable management.
Maintaining bank & cash book.
Reconciliation of Bank Statements.
Provision of assistance for post refund audit against GST claims.
E -filing of direct taxes & submission of monthly & yearly statements of tax collected & deposited.
Beside all correspondence & time being issues were also a part of the job.
From June -2006 to Aug-2008, Accounts Executive in Pakistan
Al Saeed Engineering .
Perform the processing and recording of accounts payable transactions and ensure that all invoices and staff reimbursements are paid accurately and in accordance with Finance policies and procedures .
Manage the processing of cash receipts, recording of revenue and receivable reconciled with Sales force data at any given time.
Perform general accounts analysis and reconciliations, including bank statements, fixed assets, accruals and prepaid expenses.
Assist in the preparation of financial reports such as financial statements, budget performance.
- Company industry:
- FMCG
- Job role:
-
Accounting and Auditing