Farooz
Accountant
Zanzibar
Summary of Career
Experience as Senior Accountant
27 May 2018
es and Responsibilities
? Oversee day-to-day operations of Accounting Department including Accounts payable, Accounts Receivables, General Cashier Income Audit, Payroll, Receiving and Stores.
? Verifying accuracy of financial operating statements and reports in accordance with Corporate Policy and Procedures.
? Handling functions of general ledger accounting.
? Preparing and posting Journal Vouchers.
? Daily, weekly and Monthly bank reconciliations.
? Monthly management accounts.
? Preparing & finalizing monthly “Profit & Loss” statement
? Helping to FC to Make Budget
? Book air ticket For Staff domestic & International
Experience as Accounts payable supervisor
28 November 2016
28 April 2018
01. Habtoor Hospitality Al Habtoor City (La Perle & Atrium Finance (pre-Opening)
Working as a “Account Payable Supervisor” From 28th Nov’2016 to 28 April 2018
Software: Microsoft Navision
Duties and Responsibilities
? Prepare supplier's age analysis at the closing of the month.
? Reconcile purchase orders against invoices
? Passing JV in Back office (Accrual /Store Issue /Intercompany)
? Check & Reconciliation Cash Receipt & Cash payment & posting
? Daily Banking & Up dated Bank balance
? Bank Reconciliation
? Check & posting Petty Cash General cashier IOU
? Assist to Assistant Financial Controller Daily Operation & monthly Closing
? Making Monthly profit & Loss Report
? Passing adjusting entries
Experience as Payable Accountant
01 January 2015
24 November 2016
ies and Responsibilities
? Prepare supplier's age analysis at the closing of the month.
? Reconcile accounts on a timely basis and send for review to the Financial .Controller.
? Maintain proper filing and adhere to the record retention report
? compile and maintain accounts payable files
? Reconcile purchase orders against invoices
? prepare and process payments cheques within the designated credit terms
? perform related duties and special project as assigned.
? Checking all the invoices – Food, Kitchen, General, Engineering
? Direct Invoices.Posting manually to the system Microsoft Dynamic Nivision
? Keeping manually record for all the cheques made
? Posting and applying the payment
? Research discrepancies or differences between hotel invoices
? Create all backup documentation for invoice payment
? Record processing activity on each invoice for control /audit purposes
? Prepare Pending Gate Pass & Pending LPO List.
? Making FA Additions & Deletions Report.
Experience as Store keeper
01 August 2019
31 December 2014
? Responsible for handling of Food/ Beverage, Printing/stationery, General and Engineering Stores.
? Responsible for all items receiving, physical inspection and co-ordination with Receiving in charge.
? Responsible for maintaining par stock in stores.
? Preparing purchase request according to stock demand. Always keeping sharp eye on critical items availability/re ordering. Preparation of slow/non moving/near to expiry items list.
? Physical inspection of all stores received and storing it according to FIFO method.
? Verification of stock received, checking of prices, count and tallying with LPO.
? Proper follow up of HACCP guidelines while receiving/storing/issuing food items.
? Checking of all invoices posted by Receiving Clerk.
? Responsible for issuing stores to all outlets according to their requisition and same time posting in the system. Daily preparation of transfer out report and forwarding to F&B Controller for food cost.
? Maintaining food store cleaning monitoring record report.
? Month end inventory of Food, Beverages, Tobacco, printing, stationery and General stores and preparation of report for FC information.
? Booking of month end closing report of all stores & creation of new inventory templates
Experience as General cashier Payroll Master
03 July 2012
31 July 2014
Duties and Responsibilities
? Record and reconcile all cash deposited in drop box by cashiers.
? Count and verify cash in cashier envelopes.
? Prepare bank deposit slips for security escort service.
? Prepare daily House Bank Statement.
? Prepare General Cashier’s Daily report.
? Making CRV, CPV, Cash Daily statement.
? CRV, CPV, posting &tallying in General ledger.
? Issue floats to cashiers as authorized, keep relevant records and monitor overall float position.
? Prepare monthly petty cash report for reimbursement.
? Posting monthly petty cash & IOU in General ledger.
? Handle all foreign exchange receipts for banking.
? Maintain a record of cashier discrepancies for investigation and follow up.
? Monitor foreign rates daily to ensure that the hotels rates are appropriate.
? Assist with distribution of month end reports as directed by accountant.
? Collection of attendance/ collation of attendance.
? Scrutinizing the received attendance.
? Preparing Monthly Payroll
? Net pay has to request for bank transfers/Cheque.
? Arriving the salary structure for New Joiners.
? Full & Final to be done of resigned employees.
? Making Leave settlement for staff
? Checking Monthly payroll. Preparing the JV for Air Ticket Provision, Leave Provision, and Indemnity Provision.
Master 03 March 2011
MBA Finance