Imran Ali, Finance Manager

Imran Ali

Finance Manager

Ahmed Yousif Alali Trading Est.

Lieu
Arabie Saoudite
Éducation
Master, Master of Business Administration (MBA
Expérience
12 years, 5 Mois

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Expériences professionnelles

Total des années d'expérience :12 years, 5 Mois

Finance Manager à Ahmed Yousif Alali Trading Est.
  • Arabie Saoudite - Jeddah
  • Je travaille ici depuis février 2022

• Daily Transaction: Making sure every daily business transaction is documented in the system.
• Accounts Payables: Vendor invoice booking, vendor statement reconciliation, vendor aging, vendor payment processing, vendor advance clearing and vendor correspondence.
• Accounts Receivables: Preparing invoice as per sales order customer aging, follow up with customer for overdue payments, customer account reconciliation.
• GL Review: According to instructions, review the GL and verify the actual vs. budgeted variance and report the results to management.
• Bank Reconciliation Statement (BRS): Preparing the bank reconciliation statement and update the record as per books.
• Accruals and Provisions: For proper financial results, record the accruals (expenses and revenue) at the end of the month.
• Budget and Planning: Getting information (activity plan and budgeted figures) from every department in order to prepare budgets for the next fiscal year. As directed by management, consolidate and submit for approval.
• Profit Center: Keep record of each units revenue separately within the company.
• Cost Center: Record the cost of each specific element separately for better financial results and performance efficiency.
• VAT and ZAKAT: VAT (difference between input and output VAT) is calculated and submitted using the ZATCA portal. also calculate zakat on profit and other available inventories and same report via ZATCA
• WHT and Custom: Recording of WHT on service import and customer on material acquired from outside the kingdom as per define parameters.
• Payroll Management: Preparing employees data i-e attendance, overtime calculations, tax, provident funds, and final salaries etc. in system.
• Transfer Pricing: Document and inform regulators of the intercompany transactions.
• Working Capital Facility (WCF): Having good understanding about working capital facility (WCF) which our company avails time to time when required.
• Cash Management: Manage the cash for vendor payments, employee salaried etc. (outflow) and same update record of collection from customer (inflow) in system for better business operations.
• Invoicing: Upload the invoice, GRN, and Quotation in the client vendor portal as per policy.
• Month end closing activity: Preparing BRS, recording of all revenues booking of all expenses and accruals as well during the month end closing activity.
• Financial Reports: Prepare all financial reports i-e P&L account, balance Sheet, and Cash flow statement.
• Audit: Audit preparation, provide data assist to auditor while conducting company audit.
• Record Management: Responsible to maintain all business financial records as per company policy and for avoiding future inconvenient.

Sales Accountant à Turkey A.M Majmami Trading Est.
  • Arabie Saoudite - Jeddah
  • mars 2020 à décembre 2021

• Processed sales order accurately and efficiently, ensuring compliance with company policy
• Reconciled sales order and invoices to ensure accurate revenue recording
• Identified and reported potential risk and control weaknesses within sales accounting function
• Prepared accurate and timely invoices for customer accounts
• Resolve customer billing disputes
• Follow up with customer regarding overdue payments

Accounts Officer à World Furniture
  • Pakistan - Gujrat
  • octobre 2013 à février 2020

•Transaction Record: Responsible to record day to day transactions.
•Petty cash: Responsible to maintain record of petty cash book.
•Bank Reconciliation Statement: Monthly reconciliation of bank statement and cash book.
•Customer Account Reconciliation: Responsible to follow up with customer for recovery, update their accounts
and maintain the record of correspondence.
•Vendor Account Reconciliation: Recording the invoices of vendor and manage the payments as per instructions.
Further update the vendor record.
•Payroll Management: Preparation of payroll as per slandered set by organization.
•Tax Submission: Calculation and submission of income tax and sales tax to Govt.
•Financials Preparation: Preparation of income statement, balance sheet
•Record management: Responsible to keep record for future use as well.

Operations Oficer Cash à Khushhali Bank Ltd.
  • Pakistan - Sialkot
  • décembre 2012 à septembre 2013

• Cash Payment and Receipts: Error free processing of deposit, withdrawal transactions from cash counters with accuracy & without excess/shortage.
• Cash Sorting: Sorting of cash in line with SBP & KIM guidelines & its record maintenance, with zero objection from SBP & Audit
• Cash Management: Budgeting for cash requirement of the branch & ensure cash is maintained within prescribe limit. Ensure excess cash insurance where required.
• Customer Services: Maintain timeliness in processing of cash related truncations ensure zero customer complaints.

Operation Officer Client Services à Khushhali Bank Ltd.
  • Pakistan - Sialkot
  • octobre 2012 à décembre 2012

• Quick Information: Provide complete information to customer about KBL products eficiently and efectively.
• Accounts Opening & Documentation: Facilitate customers in opening/closing of an account/TDR and ensure complete documentation. With an emphasis on KYC/AML and other applicable laws
• Credit Disbursement Related activity: Posting of loan transactions into borrower accounts as per Disbursement advice, Charges deduction, withdrawal slip issuance & record maintenance
• Customer Account Activity: Stop Payment, Standing Instructions, Zakat, FED, Dormant operation, Inward/Outward Clearing/OBC, Statement o f Account, PO, DD issuance/Payment and its record maintenance & reporting.

Assistant Account Manager à Head-On International
  • Pakistan - Islamabad
  • janvier 2012 à octobre 2012

• Prepare daily / Petty cash book
• Maintain bank reconciliation Statements
• Maintain all Account receivable and accounts Payables records
• All expenditure records
• Prepare income Statement and balance sheet
• Record keeping of all financials

Éducation

Master, Master of Business Administration (MBA
  • à Federal Urdu University of Art Science & Technology (Islamabad)
  • juillet 2010
Baccalauréat, Bachelor of Commerce (B.Com)
  • à University of Punjab
  • août 2008

Specialties & Skills

Team Motivator
Teamwork
Management
Accounting
INCOME TAX
MANAGEMENT
SALES TAX
CALCULATIONS
ACCOUNTS RECEIVABLE
AUTHORIZATION (COMPUTING)
STOCK MANAGEMENT
Team Leading
REMITTANCE
ACCOUNTING
CASH MANAGEMENT
BILLING
RECEIVABLES
SALES ORDER
Management
Target oriented
Problem Solving
Computerized Accounting
Time Management

Langues

Anglais
Moyen

Formation et Diplômes

Certified in SAP S/4HANA Cloud Private Edition, Financial Accounting (consultant level) (Certificat)
Date de la formation:
May 2024

Loisirs

  • focus on work
    4 time winner best customer service provider award during job in Soneri bank