Sajjad Hussain Chowdhury CPA, Accounts Manager

Sajjad Hussain Chowdhury CPA

Accounts Manager

Arab Orient Insurance

Lieu
Qatar - Doha
Éducation
Master, Accounting
Expérience
19 years, 0 Mois

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Expériences professionnelles

Total des années d'expérience :19 years, 0 Mois

Accounts Manager à Arab Orient Insurance
  • Qatar - Doha
  • Je travaille ici depuis mars 2013

• Managing all accounting operations including accounts payable/receivable and general ledger reconciliation.
• Monitoring the expenses and commissions to ensure that expenditures are in control and comply with company policy.
• Overseeing accounting procedures and enhancing internal control procedures.
• Co-ordinating payment between the insured and the insurers and supervising the company’s bank account reconciliation.
• Preparing monthly financial statements, cash flow statements and performance audit report.
• Performing internal audit to assure all accounting transactions are appropriately authorised.
• Co-ordinating with IT in relation to to ERP issues.
• Supervising month-end and year-end closing process.

Accountant (Revenue) à State Ministry of Health (New South Wales), Australia
  • Australie
  • février 2010 à novembre 2012

• Co-ordinated monthly closing of all books of accounts including deferred revenues.
• Performed reconciliation of general ledger and banking ledger.
• Played key role in analysing the projection of cash position and preparing cash report.
• Performed debtors analysis and reconciliation of debtor control ledger.
• Assisted in budget preparation and performance audit analysis.

Accountant (A/P,G/L) à Office of Protective Commissioner & Publice Trustee,NSW,Australia
  • Australie
  • octobre 2008 à décembre 2009

• Performed full function accounts payable role using SUN system.
• Performed bank reconciliation and general ledger reconciliation
• Produced creditors report on weekly and monthly basis.
• Maintained banking ledger and petty cash account
• Performed investigative analysis regarding creditors accounts
• Maintained liaise with reserve bank regarding banking issues

Assistant Accountant à Ingram Micro (Australia) Ltd.
  • Australie
  • janvier 2005 à septembre 2008

• Performed monthly reconciliation of re-seller accounts
• Processed inventory cost adjustment in compliance with vendor and corporate terms.
• Co-ordinated payment of invoices and expenses
• Examined and raised complete, accurate and timely special pricing claims on vendors.
• Maintained track ageing report for all marketing and vendor event management claims.

Éducation

Master, Accounting
  • à CPA Australia
  • novembre 2009

Certified Practising Accountant (CPA) Certification 2009,

Baccalauréat, Accounting
  • à University of Western Sydney
  • juillet 2004

Specialties & Skills

Office Management
Office Administration
Office Coordination
Microsoft Office
ORACLE & SUN Financial System, MYOB

Langues

Anglais
Expert

Adhésions

CPA Australia
  • member
  • January 2006

Formation et Diplômes

CPA (Certified Practising Accountant) (Certificat)
Date de la formation:
January 2006
Valide jusqu'à:
November 2009