Muhammad Munir, Finance Assistant

Muhammad Munir

Finance Assistant

save the children

Location
United Arab Emirates - Sharjah
Education
Master's degree, Accounting and Finance
Experience
4 years, 3 Months

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Work Experience

Total years of experience :4 years, 3 Months

Finance Assistant at save the children
  • Pakistan - Islamabad
  • January 2011 to March 2015

Finance Assistant (from 06 September 2010 to Till date)


Major Responsibilities:
➢ Preparation of Bank Payments and Vouchers Processing on daily basis.
➢ Petty Cash disbursement, Cash Count Sheets and Petty Cash payments.
➢ Raise timely cash requests as per need to handle petty cash payments.
➢ Prepare cheques for amounts higher than defined limit.
➢ Maintain Monthly Bank & Cash Book.
➢ Prepare Reconciliation Statements, Monthly reconciliation of cash and bank accounts and other Receipt, Payment and Project advance Schedules.
➢ Liaison with Tax department for deposit of monthly deduction from staff and vendors.
➢ Carrying out financial correspondence whenever required the supervisor/management.
➢ Maintaining of confidentiality of all finance department documents and files.
➢ Advances and reconciliation.
➢ Assist Finance Coordinator in finalizing methodology for all payments.
➢ Assist supervisor in making financial transactions, Periodic Financial Reporting.
➢ Implementation of Internal Controls
➢ Assist supervisor in complying taxation policy and other finance related matters.
➢ Manage short, medium and long-term operational cash flows.
➢ Receive the documents from program & support staff, verify the documents as per SODs.
➢ Assist supervisor in preparation of monthly Financial Report.
➢ Check compliance with developed methodology, Analytical and substantive testing of all supporting documents.
➢ Deduction of WHT Tax on Supplies & Services, Deposit tax in Bank.
➢ Liaison with Banks for deposit and Cash withdrawals, including bank statements.
➢ Up-to-date record of staff, program and travel advance and their reconciliation on regular basis, Up-to-date record of all financial transactions.
➢ Preparing BVA.
➢ Preparing severance JV & severance calculation.
➢ Preparing payroll JV.
➢ Preparing Monthly Fund projection.


➢ Microsoft, Windows, Word, Excel, Power Point, Internet, Outlook Express,
In-page (Urdu Software)
➢ Typing Speed 30 Words Per Minutes.
➢ Good computer knowledge

Assistant Accountant at Save The Children International
  • Pakistan - Peshawar
  • January 2011 to March 2015

 Preparation of Bank Payments and Vouchers Processing on daily basis.
 Petty Cash disbursement, Cash Count Sheets and Petty Cash payments.
 Raise timely cash requests as per need to handle petty cash payments.
 Prepare cheques for amounts higher than defined limit.
 Maintain Monthly Bank & Cash Book.
 Prepare Reconciliation Statements, Monthly reconciliation of cash and bank accounts and other Receipt, Payment and Project advance Schedules.
 Liaison with Tax department for deposit of monthly deduction from staff and vendors.
 Carrying out financial correspondence whenever required the supervisor/management.
 Maintaining of confidentiality of all finance department documents and files.
 Advances and reconciliation.
 Assist Finance Coordinator in finalizing methodology for all payments.
 Assist supervisor in making financial transactions, Periodic Financial Reporting.
 Implementation of Internal Controls
 Assist supervisor in complying taxation policy and other finance related matters.
 Manage short, medium and long-term operational cash flows.
 Receive the documents from program & support staff, verify the documents as per SODs.
 Assist supervisor in preparation of monthly Financial Report.
 Check compliance with developed methodology, Analytical and substantive testing of all supporting documents.
 Deduction of WHT Tax on Supplies & Services, Deposit tax in Bank.
 Liaison with Banks for deposit and Cash withdrawals, including bank statements.
 Up-to-date record of staff, program and travel advance and their reconciliation on regular basis, Up-to-date record of all financial transaction.
 Preparing payroll JV.
 Preparing Monthly Fund projection.

Education

Master's degree, Accounting and Finance
  • at University of Peshawar
  • January 2010

MBA (Master of Business Administration (major in Accounting and Finance), From University of Peshawar, B.Com (Bachelor of Commerce) (major in Commerce), From University of Peshawar,

Specialties & Skills

CORRESPONDENCE
DISBURSEMENT
FINANCE
FINANCIAL REPORT
FINANCIAL REPORTING
INTERNAL CONTROLS
LIAISON

Languages

English
Intermediate
Urdu
Expert

Hobbies

  • games