Muhammad Awais
Accountant
Dubai
Summary of Career
Experience as Accountant
07 November 2009
10 October 2011
? Maintain various books of accounts while effecting finalization of accounts periodically and prepare year-end financial statements in compliance with accounting standards
? Preparing funds flow and cash flow statements to review the inflow & outflow of funds & to ensure optimum utilization of available funds to accomplish organizational goals
? Meticulously handle daily data entries, sales reports, sales receipts and bank account transactions
• Efficiently involved in handling coded payables/receivables and assist in preparing monthly financial reports; ensure double-checking accounting reports, verifying invoices and various documents for accuracy
• Responsible for handling debtors & creditors reconciliation; managing courier for the cheques collection and keep the record for the same through meticulous records
? Handle all tasks related to verification of petty cash handling and checking of vouchers
? Make Purchase & sales Entry and prepared Receipts, Payment Vouchers with Cash Book & Bank Book while handling the journal entries
? Liaise with the suppliers/ vendors while analyzing and reviewing their billings, vendor reconciliation, invoices, agreements and other legal documents, ensuring timely payments
? Approving/checking all journals and other vouchers like payment, receipt & contract voucher
? Undertaking activities related to:
o Preparation of salaries and bank reconciliation’s
o Posting of suppliers invoices, payments schedules reconciliation of payables & receivables
o Reconciliation of vendors statements and payments according to contracts
• Developing regular account schedules for analysis including prepayments, receivables from employees, deposits, accruals, sales support
• Responsible for following up for collection from the companies and maintaining the trace system
• Accountable for keeping a record for credit card transaction and making the reconciliation of the credit card and follow up if any outstanding amount not transferred to the company bank account
• Interacting with customers via phone, email, mail or personally
Experience as Accountant
10 November 2012
15 May 2017
? Maintain various books of accounts while effecting finalization of accounts periodically and prepare year-end financial statements in compliance with accounting standards
? Preparing funds flow and cash flow statements to review the inflow & outflow of funds & to ensure optimum utilization of available funds to accomplish organizational goals
? Meticulously handle daily data entries, sales reports, sales receipts and bank account transactions
• Efficiently involved in handling coded payables/receivables and assist in preparing monthly financial reports; ensure double-checking accounting reports, verifying invoices and various documents for accuracy
• Responsible for handling debtors & creditors reconciliation; managing courier for the cheques collection and keep the record for the same through meticulous records
? Handle all tasks related to verification of petty cash handling and checking of vouchers
? Make Purchase & sales Entry and prepared Receipts, Payment Vouchers with Cash Book & Bank Book while handling the journal entries
? Liaise with the suppliers/ vendors while analyzing and reviewing their billings, vendor reconciliation, invoices, agreements and other legal documents, ensuring timely payments
? Approving/checking all journals and other vouchers like payment, receipt & contract voucher
? Undertaking activities related to:
o Preparation of salaries and bank reconciliation’s
o Posting of suppliers invoices, payments schedules reconciliation of payables & receivables
o Reconciliation of vendors statements and payments according to contracts
• Developing regular account schedules for analysis including prepayments, receivables from employees, deposits, accruals, sales support
• Responsible for following up for collection from the companies and maintaining the trace system
• Accountable for keeping a record for credit card transaction and making the reconciliation of the credit card and follow up if any outstanding amount not transferred to the company bank account
• Interacting with customers via phone, email, mail or personally
Experience as Accountant
Gargash Real Estate
28 January 2018
To date
? Maintain various books of accounts while effecting finalization of accounts periodically and prepare year-end financial statements in compliance with accounting standards
? Preparing funds flow and cash flow statements to review the inflow & outflow of funds & to ensure optimum utilization of available funds to accomplish organizational goals
? Meticulously handle daily data entries, sales reports, sales receipts and bank account transactions
• Efficiently involved in handling coded payables/receivables and assist in preparing monthly financial reports; ensure double-checking accounting reports, verifying invoices and various documents for accuracy
• Responsible for handling debtors & creditors reconciliation; managing courier for the cheques collection and keep the record for the same through meticulous records
? Handle all tasks related to verification of petty cash handling and checking of vouchers
? Make Purchase & sales Entry and prepared Receipts, Payment Vouchers with Cash Book & Bank Book while handling the journal entries
? Liaise with the suppliers/ vendors while analyzing and reviewing their billings, vendor reconciliation, invoices, agreements and other legal documents, ensuring timely payments
? Approving/checking all journals and other vouchers like payment, receipt & contract voucher
? Undertaking activities related to:
o Preparation of salaries and bank reconciliation’s
o Posting of suppliers invoices, payments schedules reconciliation of payables & receivables
o Reconciliation of vendors statements and payments according to contracts
• Developing regular account schedules for analysis including prepayments, receivables from employees, deposits, accruals, sales support
• Responsible for following up for collection from the companies and maintaining the trace system
• Accountable for keeping a record for credit card transaction and making the reconciliation of the credit card and follow up if any outstanding amount not transferred to the company bank account
• Interacting with customers via phone, email, mail or personally
Master 26 January 2006
Masters of Business Administration (MBA) (2008) Hailey College of Banking & Finance (University of the Punjab, Lahore)Bachelor 20 August 2005
Bachelor of Commerce (B.Com-IT) (2005) Punjab College of Commerce (University of the Punjab, Lahore)