Muhammad Tayyab Akhtar SYED, Assistant to Finance Manager

Muhammad Tayyab Akhtar SYED

Assistant to Finance Manager

Gulf Coverage Insurance and Reinsurance Brokers

Location
Saudi Arabia - Jeddah
Education
Diploma, Higher Diploma in Accounting
Experience
15 years, 6 Months

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Work Experience

Total years of experience :15 years, 6 Months

Assistant to Finance Manager at Gulf Coverage Insurance and Reinsurance Brokers
  • Saudi Arabia - Jeddah
  • My current job since June 2015

• Verify, allocate, post and reconcile accounts payable and receivable b/w Insurance Co.’s & Client balances
• Spot errors and suggest ways to improve efficiency and spending
• Assist with annual audits and tax returns
• Follow up Client’s credit limits and timely payment to insurance Co.’s to avoid policies freeze.
• Prepares asset, liability, and capital account entries by compiling and analyzing account information.
• Reconciles financial discrepancies by collecting and analyzing account information
• Prepares payments by verifying documentation, and requesting disbursements.
• Maintains financial security by following internal controls.
• Contributes to team effort by accomplishing related results as needed.
• Avoiding freezing of policies by making Payment to Insurance Co. on behalf of Client’s payment
• Support month-end and year-end close process.

Senior Accountant at Al Rajhi Aviation Travel and tourism Co. ltd.
  • Saudi Arabia - Jeddah
  • March 2013 to May 2015

ACCOUNTING BY BRANCHES
• Prepared month-end reconciliation's, posted cash receipts and resolved collection issues
• Worked closely with upper management to research and resolve accounting issues.
• Updated and maintained Excel cash management and accounts receivable financial spreadsheets.
• Managed short-term investment maturity and maintained minimum daily cash balances (EMD).
• Performed regular follow-up with District and Accounts Payable Departments to verify receipt of customer refunds (VMPD).
• Reconciled monthly general ledger accounts
CASH & BANK
• Execute daily checking of reconciliation of Span, Master Card, Visa, Maestro with daily cash management
• Collection daily, bi-weekly and monthly of Cash and Span Machine avoid any cash discrepancies
• Collecting & research for Cash/Span collection for more than 100 branches.
• Bank Reconciliation and resolves discrepancies issues

ACCOUNTING FOR HOTELS
• Ensured daily posting of revenues and expenses to the appropriate books.
• Monitored accounts receivable, payable and budgets.
• Prepared payroll and terminal benefits of employment.
• Calculated month end journal entries for utilities expense and employee benefits allocation
• Discrepancies verified and reconciled.
• Reconcile monthly bank statements

Accountant at Arab Commercail Enterprise-Ace Ins.& Reins.Brokers Co.Ltd
  • Saudi Arabia - Jeddah
  • October 2010 to November 2011

• Analysis of Final Reports Monthly.
• Coordinate with Consolidation.
• Analysis & adjustments Cash Flow monthly, quarterly and yearly every branch
• Reconciliation of client’s statements for payments and receipts.
• Bank Reconciliation respectively on monthly basis.
• Closing by posting transactions & provisions entries monthly basis.
• Adjustments and error free client & Insurance statement by reconciling
• Cash Management and reimbursements.
• Coordination with Budgeting and consolidate for actual outcome
• Responsible for credit collection from customers and deposit into bank
• Make Payment for policies purchased from agents after every 15 days.

Accountant at MSA Engineering est.
  • Saudi Arabia - Jeddah
  • August 2007 to September 2010

• Preparing Profit & Loss Statement, Balance Sheet, Cash Flow Statement yearly basis
• Follow up and recording clients and bank related transaction for reconciliation by project wise.
• Follow up with client’s payments, Labor monthly report and terminal benefits.
• Monthly material collection report and vendor payment credit basis
• Bank Reconciliation and adjusting balances.
• Daily Cash Management.
• Recording monthly income & expenses on monthly basis by project basis.

Education

Diploma, Higher Diploma in Accounting
  • at College of Financial Exellance- CFE
  • January 2013
Bachelor's degree, Bachlor of Commerce-IT
  • at Punjab College of Commerce.
  • June 2007

Advanced Financial Accounting Auditing Business Communication and Report Writing Business Law Business Taxation Cost Accounting Economics of Pakistan

Specialties & Skills

Microsoft PowerPoint
Microsoft Word
Microsoft Excel
MS WORD/ EXCEL/ POWER POINT AND OUTLOOK
ASH'AL ACCOUNTING SYSTEM.
Sage Line 50
Tally ERP
OPERATE AN OPERATING SYSTEM 98, 2000, MILLINIUM, AND XP SP1, XP SP 2, XP SP3.
WORK IN GREAT PLAIN 10
Quick Book
Peach Tree

Languages

English
Expert
Urdu
Intermediate
Arabic
Intermediate

Training and Certifications

Accounting Softwares (Training)
Training Institute:
Pak institute
Date Attended:
December 2012