Shaik Abdul Mateen, general accountant

Shaik Abdul Mateen

general accountant

Floward Mena Trading LLC

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Master, Finance
Expérience
9 years, 10 Mois

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Expériences professionnelles

Total des années d'expérience :9 years, 10 Mois

general accountant à Floward Mena Trading LLC
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis septembre 2023

 Verify and record Accounts receivable Collection of UAE & Bahrain.
 Prepare CDC and PDC checks, electronic transfer and WPS through online banking portal.
 Record accruals, employee provisions and prepayments on a timely basis!
 Maintaining Control Sheets for the General Ledger account and keeping them up to date monthly.
 Manage and record all the petty cash transactions.
 Creating and Maintaining of Fixed Asset register and Disposal of Asset.
 Validate and invoiced all the purchase Orders after a received confirmation from Inventory team.
 Bank Reconciliation and Suppliers Reconciliation.
 Monthly Inventory Audit.
 Quarterly VAT filing submit it to an external auditor for verification.
 Prepares various Internal reports assigned by Chief accountant.
 Assist in Monthly Closing.

General Accountant à Manar Al Khaleej Holding
  • Émirats Arabes Unis - Dubaï
  • mars 2018 à septembre 2023

 Validate and record all day-to-day business transactions.
 Verify and approve petty cash transactions for intercompany and holding.
 Processing monthly payroll for the whole Group through WPS files.
 Processing of all types of payment requests through ERP (leave settlement, supplier payment, Ohda request,
end of service settlement, utilities, and petty cash reimbursement)
 Monthly bank reconciliation of holdings and verifies the subsidiary reconciliation.
 Preparing a group monthly report along with an allocation report of subsidiaries and holdings.
 Record accruals and prepayments on a timely basis.
 Maintaining a schedule for depreciation and prepayments
 Recording of internal funds transfers from subsidiaries to holding
 Issuing and recording of credit notes and debit notes
 Validate and record an Interim Payment Certificate Invoice with a Work Done Summary for ongoing projects!
 Internal reconciliation with subsidiary companies (KSA Holding and Egypt Branch)
 Authenticating and recording of Asset disposal
 Verify and reconcile all the General Ledgers.
 Perform a quarterly VAT filing for whole group.
 Verify all the expenses of the whole group with the month-end closing procedure.

Junior Accountant à steel faab
  • Inde - Hyderabad
  • septembre 2017 à février 2018
Customer Support Executive à Harvest Software Solutions
  • Inde - Hyderabad
  • août 2014 à octobre 2017

Éducation

Master, Finance
  • à Osmania University
  • juin 2016
Baccalauréat, Commerce
  • à Osmania University
  • avril 2014

Specialties & Skills

Bank Reconciliation
Accounts Payable
Monthly Closing
Cash Flow
MS Excel
Logistics
ERP Tally
payroll
reconciliation
accounts payable
monthly closing
accounts receivable
oracle general ledger
Microsoft dynamic 365
accounting

Langues

Anglais
Expert
Hindi
Langue Maternelle
Arabe
Débutant

Formation et Diplômes

Tally, Quick books (Formation)
Institut de formation:
MR Accounting School
Date de la formation:
November 2017
Durée:
40 heures

Loisirs

  • Socializing with Friends
  • Volleyball
  • Cricket