Saqib Ali, Sr. Accountant

Saqib Ali

Sr. Accountant

Ace wood Gabon(Wood Industry)

Lieu
Inde
Éducation
Master, PGDM in Finance,
Expérience
11 years, 6 Mois

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Expériences professionnelles

Total des années d'expérience :11 years, 6 Mois

Sr. Accountant à Ace wood Gabon(Wood Industry)
  • Gabon - Libreville
  • Je travaille ici depuis octobre 2022

• Maintains accounting ledgers by verifying and posting account transactions.
• Verifies vendor accounts by reconciling monthly statements and related transactions.
• Review and process invoices along with providing the resolutions for the invoices and releasing the invoices for Payment.
• Analyze and reconcile bank statements and general ledgers
• Prepare and maintain Payroll records.
• Preparing different MIS reports as per Requirements of Management.
• Fund Management, Release of fund according ageing analysis.
• Perform month end closing activities such as account reconciliation, Revenue recognition, journal entries, expenses recording, etc.
• Assisting in preparation the Balance Sheet.

Finance Coordinator à Newaco Grupo SA (Supermarkets)
  • Angola - Luanda
  • octobre 2019 à septembre 2022

• Oversee daily bank transactions, including accounts payable/receivable.
• Assisting staff members to reconcile the bank accounts on weekly basis.
• Performing reconciliations of general ledger on Monthly basis.
• Assisting in the preparation of budgets.
• Track bank deposits and payments.
• Correspondence with Bank officials for Bank Related Matters.
• Releasing payment to Direct/offshore Suppliers through Letter of Credit, CAD & OPEs.
• Prepare monthly, quarterly and annual financial reports.
• Preparing different MIS reports as per Requirements of Management.
• Prepare and maintain Payroll records and payments.
• Being a key point of contact for other departments on financial and accounting matters.
• Supporting the Finance Manager and executives with projects and tasks when required.
• Managing month-end/year-end closing.
• POS Machine handling and their solutions.
• Support audit with the needed requirements.

Executive Accounts à SRGP Corporation Ltd.( Construction & Real Estate)
  • Inde - Kanpur
  • mai 2016 à octobre 2019

• Preparation GST returns on monthly basis.
• Filing of GST 3B, GSRT 1, GSTR 2 on monthly basis.
• Preparation and filing TDS returns on monthly basis.
• Prepare and maintain Payroll records.
• PF and ESI payment and return filing.
• Maintains accounting ledgers by verifying and posting account transactions.
• Verifies vendor accounts by reconciling monthly statements and related transactions.
• Review and process invoices along with providing the resolutions for the invoices and releasing the invoices for Payment.
• Fund Management, Release of fund according ageing analysis.
• Perform month end closing activities such as account reconciliation, Revenue recognition, journal entries, expenses recording, etc.
• Assisting in preparation the Balance Sheet.

Accountant à Royal International (Manufacturer & Exporter of Leather Products)
  • Inde - Kanpur
  • juin 2014 à avril 2016

• Prepare VAT & TDS reports and payments.
• Prepare and record journal entries and accruals.
• Maintain Purchase and Sales Register
• Preparation of Sales Invoice, Packing list and Export documents.
• Maintain and record fixed assets.
• Assist with reviewing payroll records and making accruals for it.
• Preparation Stock Statement weekly & monthly.
• Maintain proper stock movement by following FIFO System.
• Monitoring, Inspecting & Anglicizing of all inventories.
• Co-ordination with suppliers for deliveries, quality issue and feedback.

Executive Accounts à Casby Logistics Pvt. Ltd. (C/o Castrol India Limited)
  • Inde - Kanpur
  • septembre 2012 à mai 2014

• Analyze and reconcile bank statements and general ledgers.
• Post journal entries for accrued expenses and revenue.
• Review all invoices for appropriate documentation and approval prior to payment.
• Making trip sheets for delivery of goods.
• Verification and recording of distribution expenses.
• Reviewing, recording, handling branch Petty Cash and settle it.
• Check cost center expenses and compare them against budget.
• Maintain copies of vouchers, invoices or correspondence necessary for files.
• Provide supporting documentation to H.O. for audits.

Éducation

Master, PGDM in Finance,
  • à MIT University
  • février 2023
Baccalauréat, Bachelor of Commerce
  • à C.S.J.M. University
  • juin 2013
Etudes secondaires ou équivalent, Accounts
  • à H.M.I.C. UP Board
  • juin 2008

Specialties & Skills

Accountancy
Inventory
Reconciliation
Vendor Management
sap fico
CLOSING (SALES)
GENERAL LEDGER
LEDGERS (ACCOUNTING)
MANAGEMENT
RECONCILIATION
REVENUE RECOGNITION
CONSTRUCTION
PETTY CASH
BUDGETING
CLOSING
PAYROLL PROCESSING
RECORDING
ACCOUNT RECONCILIATION
ACCOUNTANCY
ACCRUALS
FINALISATION

Langues

Anglais
Expert
Hindi
Expert

Loisirs

  • Cricket