kashif bashir

chief accountant
Abu dhabi


Profile Views 450

Recommendations (0)
Last Seen: 28 January 2020 10:36 AM

Skills
financial analysis VAT financial reporting variance analysis team management cash management budget planning erp implemantation
  • Experience
    More than 15 Years
  • U.A.E Experience
    12 Years
  • Industry
    Banking & Finance
  • Nationality
    Pakistan
  • Visa status
    Employment Visa in UAE
  • Qualification
    Other - Student of Institute of Cost & Management Accountants of Pakistan (ICMAP) Stage III & IV
  • Driving License: United Arab Emirates
Other Matching Titles/Position
Chief Accountant
Finance Manager
Senior Accountant
Management Accountant
Assisstant Manager Accounts
Industry Titles
Banking & Finance

Summary of Career

1. Preparing monthly, quarterly and annual financial statements, including profit and loss accounts, cash flows statement and balance sheet in accordance with IAS and IFRS.


2. Preparation of yearly budget in coordination with other departments and to ensure that all profit and cost centers have all necessary information for compliance with budget and effective budget management


3. Preparation of Daily Bank Report with Bank Reconciliation.


4. Supervising and monitoring accounts payables, accounts receivables and general ledger


5. Handle all Integration Transactions on Daily basis & checking & finalization of all types of vouchers


6. Coordination with external auditor in finalization of annual financial accounts


7. Verifying Sales and purchase related transaction and ensuring all transaction are inclusive of VAT as per UAE Vat regulations


8. Preparation of all month end adjustment, daily & monthly cost price updating


9. Maintain records of fixed assets transaction & monthly depreciation


10. Coordinate with IT department & (Baan / Infor LN) consultant to resolve all ERP system related issues during the year


Achievements
ERP

Part of ERP Implementation, updating and archiving in Manufacturing Industry


Fixed Assets

part of transfer Fixed Assets register from manual to computerized in ERP


Project Profitability Report

Give guideline to consultant to make project profitability report in ERP system


Work Experience (Employment History)

Experience as Accounts, Audit & Income Tax Assistant

  • Employer

  • From

    01 July 2002

  • To

    30 September 2003

  • Detail

    Internship with A. M. Laliwala & Co. (Chartered Accountants), during my internship I have accomplished the following tasks:
    AUDIT: Planning and arrangement of audit, Supervision and review of work done by audit assistants, discussion with clients & reporting directly to Audit Manager. Participation and conducted audit of following clients:
     United Refrigeration Industries Limited
     Dawlance (Pvt) Limited
     Shahsons (Pvt) Limited
     Alucan (Pvt) Limited
     Collapsible tube company (Pvt) Limited
     United Sales (Pvt) Limited
     Universal Agro Chemical (Pvt) Limited
     Pakistan International Packages
    TAX: Assist in preparing and filing of annual and monthly returns. The categories of Clients include Individual, Private Limited Companies, Public Limited Companies, Registered Partnership Firms & Professionals etc.
    CONSULTING: Assist in Incorporation of Companies, Filing various Forms and Returns required to be filed under the Companies Ordinance 1984, with the Company Registrar Office & Securities & Exchange Companies of Pakistan (SECP).
    ASSIGNMENTS: prepared the Books of the various clients, under contract system.

Experience as Assistant Manager Accounts

  • Employer

  • From

    01 July 2004

  • To

    31 March 2007

  • Detail

     To assist in preparation of quarterly, half yearly & annual financial accounts
     Coordination external auditors in finalization of half yearly and annual financial accounts
     To assist in preparation of audit narratives, reports and working papers
     To assist G. M. Taxation in various Corporate Matters of Companies relating to audit
     Record adjusting and correcting entries in general ledger
     To assist in internal and external audit performed during the year
     To assist Manager Accounts in preparation of monthly Budget
     Review, balance and reconcile accounting records
     Preparation of various management internal control reports for management.
     Preparation of customer daily outstanding report (Trade receivables) for sales team with aging and future cash collection plan
     Preparation of monthly group companies financial accounts.
     To assist in analyzing records for completeness and accuracy to determine compliances
     Train and review work of staff accountant.
     Maintain chart of accounts by assigning account/department code
     Contact associates, banks and other parties to obtain information and resolve problems
     Maintaining records of fixed assets
     Monitoring credit facilities provided by bank and liaise with bank regarding sanction and renewal of all credit limits
     Routine Accounting works in accordance with general accepted Accounting Policies & Principles

Experience as General Accountant

  • Employer

  • From

    01 April 2007

  • To

    31 August 2008

  • Detail

     To handle books of General Ledger, Cashbook, Petty Cash, Debtors & Creditors
     Preparation of Invoices, monthly Payroll, Bank Reconciliations & Annual Adjustments
     Maintenance & reconciliation of Fixes Assets Register
     Dealing with Travel agent, Bank for daily queries
     Preparation of Annual Budget / Plan
     Preparing & finalizing the Annual Accounts of the Company
     Preparation of various management internal controls reports for management
     Other responsibilities as and when required by Management

Experience as Senior Accountant

  • Employer

  • From

    01 September 2008

  • To

    31 January 2015

  • Detail

     Preparation of Daily Bank Report with Bank Reconciliation
     Manage & Look after the works of subordinate
     Handle all Integration Transactions on Daily basis & checking & finalization of all types of vouchers
     Assist the Finance Manager in preparation & conducting of quarterly Inventory (Stock Taking)
     Coordination with external auditor in finalization of annual financial accounts
     Assist the Finance Manager in preparation of audit narratives, reports and working papers
     Preparation of all month end adjustment, daily & monthly cost price updating
     Maintain computerized records of fixed assets transaction & monthly depreciation
     Maintain chart of accounts, Customer code, Supplier code, Transaction type code, when needed
     Making monthly salaries in accordance with WPS procedure
     Handle all year end adjustments & Provisional Closing of financial accounts
     Coordinate with production department for closing of Open Production order on monthly basis
     Coordinate with procurement department to make purchase invoices of all open GRN’s before month end
     Coordinate with IT department & BaaN consultant to resolve all financial problems during the year
     Prepare reply for all Government Survey, Questioner
     Other responsibilities as and when required by Management

Experience as Chief Accountant

  • Employer

  • From

    01 February 2015

  • To

    30 September 2019

  • Detail

     Preparing monthly, quarterly and annual financial statements, including profit and loss accounts, cash flows statement and balance sheet in accordance with IAS and IFRS.
     Preparation of yearly budget in coordination with other departments and to ensure that all profit and cost centers have all necessary information for compliance with budget and effective budget management
     Preparation of Daily Bank Report with Bank Reconciliation.
     Supervising and monitoring accounts payables, accounts receivables and general ledger,
     Handle all Integration Transactions on Daily basis & checking & finalization of all types of vouchers
     Preparation & conducting of yearly Inventory (Stock Taking)
     Coordination with external auditor in finalization of annual financial accounts
     Preparation of audit narratives, reports and working papers
     Preparation of all month end adjustment, daily & monthly cost price updating
     Maintain records of fixed assets transaction & monthly depreciation
     Verifying Sales and purchase related transaction and ensuring all transaction are inclusive of VAT as per UAE Vat regulations.
     Maintain chart of accounts, Customer code, Supplier code, Transaction type code, when needed
     Making monthly salaries in coordination with HR Department in accordance with WPS procedure
     Handle all yearend adjustments & Provisional Closing of financial accounts.
     Coordinate with production department for closing of Open Production order on monthly basis
     Coordinate with procurement department to make purchase invoices of all open GRN’s before month end.
     Coordinate with IT department & (Baan / Infor LN) consultant to resolve all ERP system related issues during the year
     Prepare reply for all Government Survey and Questioner

Academic Qualification

Master 31 December 2001

M.Com

Bachelor 31 December 1998

B. Com

Other 24 January 2020

Student of Institute of Cost & Management Accountants of Pakistan (ICMAP) Stage III & IV
Certifications
Recommend kashif bashir
Related UserList of Members
Mentor
Not yet Assigned
Profile Answers
Related Professionals
Profession: Accountant
Current City: Dubai

Profession: Accounts and administration
Current City: Ras Al Kaimah

Profession: Accounts
Current City: Dubai

Profession: Accountant
Current City: Dubai

Profession: Accountant
Current City: Dubai

Profession: Auditor/Accountant
Current City: Sharjah