Kashan خان, Finance And Accounts Manager

Kashan خان

Finance And Accounts Manager

Al Hamd Associates

البلد
الإمارات العربية المتحدة
التعليم
ماجستير, Accounting And Economics
الخبرات
21 years, 8 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :21 years, 8 أشهر

Finance And Accounts Manager في Al Hamd Associates
  • باكستان - كراتشي
  • أشغل هذه الوظيفة منذ يونيو 2022

 Oversee the accounting, budgeting, financing, investing, funding, and reporting activities.
 Verify monthly financial performance statements
 Ensure accuracy of information contained in financial reports & their compliance with statutory requirements.
 Opening and payment of Letter of Credit L/C for import of goods.
 Liaise with bank for bank guarantees and repayment of loan.
 Checked and finalize VAT return.
 Verify and check the landed cost of goods.
 Monitor the whole range of Accounts Payable, Receivable & Budget Preparation.
 Finalize WPS file uploading in system.
 Control petty cash;
 Prepare Projected & Actual Cash Flow Statements.
 Manage the Invoice generation Operation & Credit Control.
 Ensure reconciliation of all sub ledgers & general ledger is performed on regular basis.
 Ensure General Ledger entries are accurate and are in line with Company Procedures & International Accounting Standards.
 Finalize Trial Balance with supporting schedules.
 Check Monthly Bank Reconciliation Statements of all bank accounts maintained; resolve any differences in a timely manner.

Finance And Accounts Manager في Union Motors LLC
  • الإمارات العربية المتحدة - دبي
  • سبتمبر 2018 إلى فبراير 2022

  Oversee the accounting, budgeting, financing, investing, funding, and reporting activities.
 Verify monthly financial performance statements
 Ensure accuracy of information contained in financial reports & their compliance with statutory requirements.
 Opening and payment of Letter of Credit L/C for import of goods.
 Liaise with bank for bank guarantees and repayment of loan.
 Checked and finalize VAT return.
 Monitor the whole range of Accounts Payable, Receivable & Budget Preparation.
 Finalize WPS file uploading in system.
 Control petty cash;
 Prepare Projected & Actual Cash Flow Statements.
 Manage the Invoice generation Operation & Credit Control.
 Ensure reconciliation of all sub ledgers & general ledger is performed on regular basis.
 Ensure General Ledger entries are accurate and are in line with Company Procedures & International Accounting Standards.
 Finalize Trial Balance with supporting schedules.
 Check Monthly Bank Reconciliation Statements of all bank accounts maintained; resolve any differences in a timely manner.
 Liaise with & assist internal & external auditors; implement recommendations if any; take corrective action wherever required.
 Pass Periodical adjustment Journal Entries monthly & Calculating Depreciation for each month
 Updating Prepayments
 Calculate and pass Provisions for the month
 Provide timely & Accurate Financial Information to the Management
 Prepare monthly Cash flow Statement
 Monthly Staff Cost Calculations(payroll, provision for leave salary, gratuity, & provisions to pension fund)
 Check Payment voucher, Journal voucher, credit voucher, debit voucher
 Monthly preparation of reconciliation statements (inter Branch, bank rec, debtors and creditors)
 Finalize of Quarterly Financial statements and statement of PPE & Staff Cost/Provisions schedules.
 Verification of Financial Statements (Balance Sheet, Profit & Loss, Cash Flow and related statements and notes).
 Reviewed application of International Financial Reporting Standards and local laws in the overall accounting environment.
 Checked presentation and disclosure of financial statements in accordance with applicable local laws, International Financial Reporting Standards (IFRS).
 Preparation of control weakness/ deficiency and recommendations letter.
 Involved in the preparation of key correspondence with those charged with governance.
 Evaluation and documentation of present accounting and internal control system
 Identification of inherent risks present in a system and reporting weakness and risks to the management.

Financial Controller في The Bloom Room Flowers and Events
  • الإمارات العربية المتحدة - دبي
  • يوليو 2014 إلى يونيو 2018
Accounts Supervisor في Citiscape LLC
  • الإمارات العربية المتحدة - دبي
  • نوفمبر 2011 إلى يونيو 2014
Audit Executive في M/s. Grant Thornton International
  • الإمارات العربية المتحدة - دبي
  • يونيو 2007 إلى أكتوبر 2011
Audit Supervisor في M/s. Grant Thornton International
  • باكستان - كراتشي
  • مايو 2002 إلى مايو 2007

الخلفية التعليمية

ماجستير, Accounting And Economics
  • في University Of Karachi
  • يونيو 2005

بكالوريوس, Accounting And Audit
  • في Institute of chartered Accountant of pakistan
  • يونيو 2005
بكالوريوس, Accounting
  • في University of Karachi
  • يونيو 1999

Specialties & Skills

Cash Flow
Budgeting
Project Work
Auditing
Accounting
ACCOUNTANCY
ACCOUNTS PAYABLE
BALANCE
BANK RECONCILIATION
BUDGET PREPARATION
BUDGETING
CASH FLOW
DOCUMENTATION

اللغات

الانجليزية
متمرّس
الأوردو
متمرّس