Sheik Mohamed Peer Mohamed Aziz, Senior Finance Asst – Accounts Payable

Sheik Mohamed Peer Mohamed Aziz

Senior Finance Asst – Accounts Payable

Qatar Airways

Lieu
Qatar
Éducation
Baccalauréat, Accounting, Banking, Economics, Auditing
Expérience
25 years, 8 Mois

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Expériences professionnelles

Total des années d'expérience :25 years, 8 Mois

Senior Finance Asst – Accounts Payable à Qatar Airways
  • Qatar - Doha
  • Je travaille ici depuis septembre 2007

Verification of Vendor Invoices as per Contracts / PO in compliance with Financial polices.
Interact with user departments to resolve queries for invoices.
Preparations of Cash Flow in order with arrange the required funds.
Ensure all AP monthly closing activities are done as per target dates.
Review inter company transfer/allocation JV’s before the GL closing.
Prepare all the AP-related MIS reports.
Ensure all payments are correctly accounted for in the appropriate cost centre and expense accounts within set time frames.
Review & distribute Hold report, Ageing report, prepayment report etc.
Helps resolve outstanding items with line departments as required.
Reviews supplier reconciliation & ensures closure before month end close.
Prepares/Reviews GL schedules & reports out the same before month end close.
Coordinates for external/internal audit queries.
Ensure all payments are done in a timely manner as per the due date.

Almoayyed International Group à Almoayyed International Group, Kingdom of Bahrain
  • Bahreïn - Manama
  • janvier 2006 à septembre 2007

Maintain all General Ledger Accounts through Oracle ERP Accounting Package.
Accounts Payable.
Accounts Receivable.
Making Invoices.
Inter company Reconciliation.
Reconciliation with Creditors Book and Settle their Accounts.
Reconciliation with Debtors Account.
Inter-company Reconciliation
Bank transaction & Reconciliation.
Preparation of All Excel Statements and Reports.
Keep all records are properly.

Accountant à Samtrack Technology Services (P) Ltd, Bangalore, India
  • Inde
  • février 2005 à janvier 2006

Maintain all General Ledger Accounts through Tally 6.3 Accounts Packages.
Accounts Payable.
Accounts Receivable.
Bank transaction & reconciliation.
Reconciliation between physical cash with cashbook.
Employee،¦s Payroll.
Internet Operations.

Accountant à Suguna Poultry Products Ltd, Coimbatore, India
  • Inde
  • juillet 1998 à novembre 2004

Maintain All General Ledger Accounts (up to finalization) through Oracle Accounting Software.
Accounts Payable.
Accounts Receivable.
Broiler sales entry.
Bank transaction & reconciliation.
Financial Reporting.
Inventory Control and Payroll.
Reconciliation with Debtors Account.
Reconciliation with all inter-company branches.
Reconciliation between physical cash with cashbook.
Farmer Accounts Closing.
Daily MIS Data and all other reports send through Internet.

Éducation

Baccalauréat, Accounting, Banking, Economics, Auditing
  • à Saraswathi Narayanan College
  • avril 1998

During my Bachelor's Degree i got an scholarship from central Governmnt of India.

Etudes secondaires ou équivalent, Accounts & Commerce
  • à Nadar Higher Secondary School
  • mars 1995

Specialties & Skills

General Ledger
Monthly Closing
Physical
Month End
Microsoft Office - Word & Excel
Oracle Accouning & Tally Accounts Package
Oracle ERP - R12 version

Langues

Anglais
Expert
Tamil
Expert
Malayala
Débutant
Urdu
Débutant