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تم إلغاء حظر المستخدم بنجاح
Mohammad Alam, Group Assistant Manager – Finance & Accounts Dept.

Mohammad Alam

Group Assistant Manager – Finance & Accounts Dept.·GSCS/ASCS Group (Corporate Office),

الإمارات العربية المتحدة

ماجستير, Finance

الخبرة العملية

مجموع سنوات الخبرة: 23 سنوات, 8 أشهر

Group Assistant Manager – Finance & Accounts Dept.

أغسطس 2006 - حتى الآن

GSCS/ASCS Group (Corporate Office),

أبو ظبي، الإمارات العربية المتحدة

أغسطس 2006 - حتى الآن

• Pricing Review: Review pricing proposals and attending meeting with management on the bidding submission if any final changes required.
• Contract Management: Review customer contracts & modifications for CEO/GM signature. Provide guidance to the team on maintaining proper documentation.
• Financial Projections and Reporting: Review and submit quarterly revenue and cost projections for the Group to the CEO and provide reasoning for the variances on the estimated P&L for the year.
• Profitability Reports: Review revenue & cost heads and prepare profitability reports project,
customer & activity wise, submit it to Management after discussing with the Project Managers.
• Billing Supervision: Oversee the billing process in line with contract terms & rates, setting up
customers account & credit limit and approve invoices, credit notes/refunds.
• Month-End and Year-End Closing: Responsible for month-end & year-end closing, passing entries for accruals, amortization, AR provisions and writing off customers a/c as per company policy.
• Collection Follow-ups: Lead Accounts Receivable team to reconcile customer accounts, follow up payments with customers and ensure timely collections.
• Collections Monitoring: Monitor daily collections and coordinate with the Treasury Dept to ensure timely deposits and application of collections from multiple bank a/c against open AR balances.
• Customer Interaction: Interact with customers via email, phone or in-person to resolve disputes on outstanding issues.
• Credit Control Leadership: Oversee the auto follow up email to the client on weekly basis and
arrange a monthly meeting with department/entities heads to reduce DSO and improve cash flow.
• Management Reporting: Organize monthly meetings with CEO/Chairman, provide AR aging, sales / collections progress and raise concern on potential credit risk a/c with significant overdue amounts.
• Debt Recovery: Investigate outstanding debts and initiate debt recovery processes through
collection agencies or legal channels after obtaining consent from CEO.
• ROC Confirmation: Provide consent to the GM on the approval of ROC after reviewing customer accounts and ensuring there is no outstanding balance.
• Bank Facilities documentation: Review and provide AR ageing report, on-going & completed
projects list, top customers and P&L projection for a new facility or renewal of facilities.
• Payment approval: Review and sign vendors payments & business payments across subsidiaries as per POs terms.
• Corporate Tax Implementation: Lead Corporate Tax compliance, implement TP policies, finalize MSA documentation and oversee CT registrations & filling of CT returns.
• VAT Compliance: Review monthly VAT returns and ensure timely filing of VAT return & payments and make necessary amendments to the FTA for adding/removing companies from the tax group.
• Compliance and Segregation of Duties: Ensure compliance by reviewing and maintaining proper segregation of duties.
• System and Report Recommendations: Collaborate with the GP administrator to review system reports and provide recommendations for any required reports.
• Audit Support: Review schedules for annual audits, respond to auditors queries and clarify them if any doubts.

مجال الشركة:
إدارة الممتلكات والمرافق

Senior Accountant (Corporate Office)

أكتوبر 2003 - يوليو 2006

Fast Rent A Car,

أبو ظبي، الإمارات العربية المتحدة

أكتوبر 2003 - يوليو 2006

• Assist the Accounts Manager in finalizing of P & L Account and Balance Sheet.
• Passing JVs for accruals, prepayments, month-end provisions and other entries.
• Monitoring Financial Statement variations to the budgets.
• Maintaining PDC register and providing Cash flow position on a daily basis.
• Reviewing revenue, Expense heads and General Ledger A/c.
• Reviewing customers contracts and verify invoices, Debit Notes and Credit Notes.
• Follow up with credit controller of outstanding balances & keeps control over AR.
• Verifying supplier bills with POs & rate contracts and processing the payments on the due date.
• Reviewing the supplier account and reconciling with their accounts on regular basis.
• Scrutiny& reconciliation of petty cash and arranging payments for utilities on the due date.
• Reconcile vehicle loan of financing banks, Insurance company accounts & confirming premium.
• Bank book maintenance and their reconciliation.
• Maintaining the schedule of the Bank Guarantees.
• Maintaining Fixed Assets Register & calculating depreciation their on.
• Verifying payroll i.e. Leave settlement, End of service benefits and processing monthly salary.
• Producing MIS reports like Aged Accounts Payable and Receivable report to Management.
• Preparation of schedules for quarterly and yearly audits.

مجال الشركة:
النقل بالسيارات

Accountant

أكتوبر 2002 - سبتمبر 2003

Sufa Limited,

دبي، الإمارات العربية المتحدة

أكتوبر 2002 - سبتمبر 2003

• Financial Statement Finalization: Finalize Balance Sheet and Profit & Loss Accounts to ensure accurate financial reporting.
• Monthly Provisions and Accruals: passing month-end & year-end entries for the provisions,
amortization, prepaid expenses and accruals to reflect the correct financial position.
• Contract Review & Invoicing: Review contracts and issue invoices to customers in accordance with contract terms.
• Collections and Follow-Up: Record customer collections and follow up on outstanding balances to ensure timely payments. Expense and Bill Review: Review supplier bills, utility bills, and other expenses, ensuring accurate booking into the system.
• Reconciliation: Reconcile customer accounts, vendor accounts, and bank accounts to maintain accurate financial records.
• Payment Processing: Process payments to suppliers, utilities, and other due payments on time to maintain good relationships and avoid late fees.
• Petty Cash Management: Scrutinize petty cash and allocate expenses appropriately to ensure
accurate reporting.
• MIS Reporting: Prepare and provide Management Information System (MIS) reports to the
management for decision-making.
• Voucher Preparation: Prepare Bank, Cash, and Journal Vouchers for accurate recording of
financial transactions.
• Audit Liaison: Coordinate with auditors for the yearly audit process, ensuring timely submission of necessary documentation and information.

مجال الشركة:
الإنتاج الصناعي

التعليم

Madurai Kamaraj University

أبريل 2009

أبريل 2009

ماجستير، Finance

الهند

B. R. Ambedkar Bihar University

أبريل 1997

أبريل 1997

بكالوريوس، Accounting

الهند

Skills

ACCOUNT MANAGEMENT
Intermediate
ACCOUNT MANAGEMENT
Intermediate
ANALYTICAL SKILLS
Intermediate
ANALYTICAL SKILLS
Intermediate
COMPLIANCE REQUIREMENTS
Intermediate
COMPLIANCE REQUIREMENTS
Intermediate
CONTRACT REVIEW
Intermediate
CONTRACT REVIEW
Intermediate
CREATIVITY
Intermediate
CREATIVITY
Intermediate
FINANCE
Intermediate
FINANCE
Intermediate
INTERNAL AUDITING
Intermediate
INTERNAL AUDITING
Intermediate
MASTER OF BUSINESS ADMINISTRATION MBA
Intermediate
MASTER OF BUSINESS ADMINISTRATION MBA
Intermediate
OPERATIONS
Intermediate
OPERATIONS
Intermediate
RELATIONSHIP MANAGEMENT
Intermediate
RELATIONSHIP MANAGEMENT
Intermediate

اللغات

الانجليزية

مبتدئ

العربية

مبتدئ

الأوردو

مبتدئ

الهندية

مبتدئ

التدريب و الشهادات

الشهادات
530559/A

التدريب
UAE Corporate Tax Training
Nadia Global

الهوايات والاهتمامات

Reading journal