Ejaz Ali
MBA/Accounts Payable/Green Belt Six Sigma Certified
Khobar-Saudi Arabia
Summary of Career
1. Invoice Processing/Verifying
2. Review, Verify and process all invoices through SAP Finance & logistics
3. Accounts Payable/Vendor Payment
4. PO/NPO Processing.E-GR & MDD’S Processing
5. Processing invoices from various locations for payment.
6. Perform 3 WAY QC and submit the invoice after verification to the next team to release the payment
7. Providing Accountants with assistance when required.
8. Maintain vendor statements and communicate with vendors when necessary.
9. Contacting banks regarding any financial queries or amount pending.
10. Research and resolve invoice discrepancies with appropriate internal and external resources
Experience as Accounts Executive
04 February 2014
10 February 2015
was assigned as an account executive and was supporting to our senior accountant in day to day and month
Accounting and performing general clerical duties:
Generating monthly accounts closing reporting analysis.
Managing daily accounting and financial operation.
Verification and posting all account entries, maintaining timely and accurate input of information in the accounting system
Develop budget for specific project
Assisting in payroll department- Perform Payroll Operations, transactions, recons illations and processing in order to meet the payroll plan.
Assisting with end year audit.
Accounts receivables
BRS
Maintain and record company expenses [Petty Cash book]
Experience as Accounts Payable Associate
Tata Consultancy Services
25 March 2015
17 May 2018
Designation: Process Associate (Accounts Payable)
Job Profile: The Job profile include following areas.
Invoice Processing / Invoice Verifying.
Accounts Payable / Vendor Payment
Review all invoices and credit card expenditures for appropriate documentation and approval, prior to payment.
Ensuring Invoices are properly coded.
Answering question from vendors and clients.
Matching Invoices to purchase orders and e-payment, prior to bill payment.
Processing electronic bill payments
Maintain vendor’s files soft and hard copy.
Reconciling vendor statements, including researching and correcting discrepancies.
Assisting in Month end closing.
Maintaining files and documenting thoroughly and accurately, in accordance with company policy and accepted accounting practices.
Whenever is required, purchasing responsivities will include: sending approval PO’S to vendor; matching receivers against PO’S.
Timely and accurate process of AP Helpdesk Inquiry
Timely and accurate processing of vendor invoices and credit card expenditure, using VM-Ware and citric the oracle based ERP.
Communicate with vendors, internal customers or AP team members as required to ensure accurate resolution comply with all finance AP, and supply chain policies and procedures
Coordinate with business department in order to solve invoices discrepancies according to their aging and SLA.
Perform back-up within AP department as required by management
Prepare daily operation report [MIS] and month end operations report with statistical data and sent to the management
Experience as Accounts Payable Clerk
Saudi Aramco
02 July 2018
To date
Designation: Accounts Payable Clerk (Offshore Accounting Department)
Job Profile: The Job profile include following areas of responsibilities:
Invoice Processing/Verifying
Review, Verify and process all invoices through SAP Finance & logistics
Accounts Payable/Vendor Payment
PO/NPO Processing.
E-GR & MDD’S Processing
Completing accounts payable.
Processing invoices from various locations for payment
Providing Accountants with assistance when required.
Perform 3 WAY QC and submit the invoice after verification to the next team to release the payment
Contacting banks regarding any financial queries or amount pending.
Maintain vendor statements and communicate with vendors when necessary.
Handling all telephone inquiries relating to accounts payable issues.
Compiling management reports and assisting with audits.
Collecting all invoices and obtaining approval for payment.
Matching, batching and coding invoices.
Maintaining vendor files. Raising and tracking invoices.
Chasing up outstanding customer accounts.
Matching cheques to corresponding invoices.
Perform indexing of invoices on daily basis or vouchers in database management system.
Initiate the Payment procedure comply with the company norm
Coordinate, collect & generate daily operations reports. For the assigned vendor.
Dispatching, tracking, Scheduling, Invoicing and executes responsibilities in a timely and orderly manner.
Ensure timely and accurate processing vendor invoices
Research and resolve invoice discrepancies with appropriate internal and external resources
Master 11 June 2014
MBA Dual Specializations Finance & MarketingBachelor 04 June 2012
Bachelor Of Commerce [Accounting & Business Statistics]