Muhammad Arslan

Accounting & Finance
Dubai


Profile Views 302

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Skills
? SAP Business One 9.1 ? Oracle CRM Siebel 8.1 ? Tally.ERP 9 ? Microsoft Office (MS Word MS Excel MS PowerPoint Outlook) • Active reporting skills in excel using multiple functions like Pivot Table VLOOKUP “IF” Conditions SUMIF COUNTIF CONCATENATE
  • Experience
    7 Years
  • U.A.E Experience
    --
  • Industry
    Banking & Finance
  • Nationality
    Pakistan
  • Visa status
    Others
  • Qualification
    Master - Masters in Business Administration - Accounting & Finance
  • Driving License: Automatic
Other Matching Titles/Position
Industry Titles
Banking & Finance

Summary of Career

1. Complete Accounts Management including Payables, Receivables, Asset valuation etc.


2. Bookkeeping/Register financial transactions in accounting software and maintain filings.


3. Prepare and file VAT returns, and handle all VAT related activities.


4. Maintains accounting controls by preparing and recommending policies and procedures.


5. Managing payroll and Compile monthly reports.


6. Prepares payments by verifying documentation.


7. Procurement, Getting Quotations, Making LPO's, Followup and etc.


8. Administrate sites and evaluate work performance for site representative.


9. Assist in the preparation of Budgeting and Budget Variance reports.


10. Ensure valuation of company properties from approved valuators and submit reports to banks and financial institutions as per their requirements.


Work Experience (Employment History)

Experience as Accounts/Import Executive

  • Employer

  • From

    01 October 2013

  • To

    30 September 2015

  • Detail

    Day to Day Bookkeeping/Register financial transactions in accounting software and maintain filings.
    Compliance with VAT regulation & Procedures and coordination with Auditors
    Filing VAT, Reporting & ensuring VAT compliance and identifying risk to minimize VAT liabilities and Identifying potential tax planning opportunities.
    Preparation and Presentation of Monthly/Quarterly/Annual Financial Reports and reporting of variance analysis to, Finance Director, CEO along with suggestions & recommendations in accordance with International Financial Reporting Standards (IFRS).
    Issuing purchase orders, petty cash, processing bills such as invoices, petty cash and reconciling weekly, Payments and documents follow-up.
    Making Project Cash flow and maintaining Company cash flow.
    Managing payroll, Compile monthly reports, End of service calculation according to Labor Law.
    Prepare and audit all Fixed Asset & Depreciations Prepayments, Accruals, Intercompany accounts, Petty Cash accounts, Leaves provisions, Employee Advances, Deposit Accounts, Account Receivables and Payables.
    Verify transactions related to Sales and Inventory and also record WIP activates time by time.
    Maintains accounting controls by preparing and recommending policies and procedures.
    Reconciles financial discrepancies by collecting and analyzing account information.
    Monitoring expenditures; identify variances; Revenue Growth, Cost/Benefit analysis, Profit Loss Analysis.
    Banking & Finance:
    Managing Bank Accounts, planning & managing funds utilization.
    Manage new bank account openings of directors & employees, arrange all documents required by banks.
    Assisted in Financial Budgeting & Forecasting.
    Liaison with International office for scheduling telegraphic transfer & maintain funds in different banks.
    Assisted in the preparation of Budgeting and Budget Variance reports with analysis weekly, monthly, annually.
    Ensure valuation of company properties from approved valuators and submit reports to banks and financial institutions as per their requirements.

Experience as Finance Officer

  • Employer

  • From

    01 October 2015

  • To

    20 March 2017

  • Detail

    Day to Day Bookkeeping/Register financial transactions in accounting software and maintain filings.
    Preparation and Presentation of Monthly/Quarterly/Annual Financial Reports and reporting of variance analysis to, Finance Director, CEO along with suggestions & recommendations in accordance with International Financial Reporting Standards (IFRS).
    Managing Bank Accounts, planning & managing funds utilization.
    Manage new bank account openings of directors & employees, arrange all documents required by banks.
    Assisted in Financial Budgeting & Forecasting.
    Liaison with International office for scheduling telegraphic transfer & maintain funds in different banks.
    Assisted in the preparation of Budgeting and Budget Variance reports with analysis weekly, monthly, annually.
    Ensure valuation of company properties from approved valuators and submit reports to banks and financial institutions as per their requirements.
    Liaison with bank for timely release of original shipping documents, dollar rate negotiations.
    Liaison with banks to get LC, Advance payments and CAD payments evidences to intimate supplier.
    Negotiation in release of stocks, rates and all other related matters in the best interest of company.
    Liaison with Mucaddam for pledge of goods & Mortgage of land and building, stock pledge (FIM Process).
    Liaison with Production Planning Departments to obtain plan for Import Document Release.
    Liaison with banks to obtain “Export Proceeds Realization Certificate” (EPRC).

Experience as Accountant General

  • Employer

  • From

    23 October 2017

  • To

    20 November 2019

  • Detail

    Day to Day Bookkeeping/Register financial transactions in accounting software and maintain filings.
    Compliance with VAT regulation & Procedures and coordination with Auditors
    Filing VAT, Reporting & ensuring VAT compliance and identifying risk to minimize VAT liabilities and Identifying potential tax planning opportunities.
    Preparation and Presentation of Monthly/Quarterly/Annual Financial Reports and reporting of variance analysis to, Finance Director, CEO along with suggestions & recommendations in accordance with International Financial Reporting Standards (IFRS).
    Issuing purchase orders, petty cash, processing bills such as invoices, petty cash and reconciling weekly, Payments and documents follow-up.
    Making Project Cash flow and maintaining Company cash flow.
    Managing payroll, Compile monthly reports, End of service calculation according to Labor Law.
    Prepare and audit all Fixed Assets & Depreciations Prepayments, Accruals, Intercompany accounts, Petty Cash accounts, Leaves provisions, Employee Advances, Deposit Accounts, Account Receivables, and Payables.
    Verify transactions related to Sales and Inventory and also record WIP activates time by time.
    Maintains accounting controls by preparing and recommending policies and procedures.
    Reconciles financial discrepancies by collecting and analyzing account information.
    Monitoring expenditures; identifying variances; Revenue Growth, Cost/Benefit analysis, Profit Loss Analysis.
    Banking & Finance:
    Managing Bank Accounts, planning & managing funds utilization.
    Manage new bank account openings of directors & employees, arrange all documents required by banks.
    Assisted in Financial Budgeting & Forecasting.
    Liaison with the International office for scheduling telegraphic transfer & maintain funds in different banks.
    Assisted in the preparation of Budgeting and Budget Variance reports with analysis weekly, monthly, annually.
    Ensure the valuation of company properties from approved valuators and submit reports to banks and financial institutions as per their requirements.

Academic Qualification

Master 30 September 2016

Masters in Business Administration - Accounting & Finance
Certifications
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