Naveed Shahzad
(Job Seeker - Active)
Senior Accountant
Abu Dhabi
Summary of Career
1. Bookkeeping of all financial transactions
2. Financial Reports and MIS Reports generation
3. Budgeting and planning for coming years
4. Weekly, monthly and yearly cash flow forecasting
5. Payroll management
6. Accounts payable and receivable management
7. Fixed assets management
8. Ledgers and bank reconciliations
9. VAT calculation, recording and periodic return filing
10. Cash management
Experience as Senior Accountant
15 July 2015
To date
Maintain complete books of account and finalize the books at the end of every month.
Preparation of financial statements includes, income statement, statement of financial position, cash flow statement and all others supporting statements required by management.
Management of accounts payables and account receivables.
VAT return filing, Payroll and fixed assets management.
Weekly / monthly / annual cash flow forecast.
Preparation of annual budget, comparison and variance analysis.
Audit preparation and coordinate with external auditors during audit period.
Bank finance and intercompany loans management.
Un-invoice revenue / WIP management with related cost accruals.
Experience as Senior Accountant
17 January 2013
14 July 2015
Bookkeeping of intercompany transactions, cash & bank transactions, document/cheque discounting, TR finance and month end entries.
Manage all payables, CDCs and PDCs issuance and funds planning.
Ledger reconciliation of Customers, Suppliers and Inter-company loans.
Preparation of financial statements, including Income Statement, Balance Sheet, Retained Earnings Statement and Statement in Change of Equity at the end of every month of one group company.
Prepare different reports for management regarding Sales, Purchases, Stock, Bank Position, Bank Reconciliation, Receivables and Payables.
Debit/Credit Note issuance of price difference, quality and quantity claims.
Office cash handling in head office.
Experience as General Banking Officer (Grade-II)
11 August 2008
31 May 2012
Opening Corporate/Individual bank accounts according to Central Bank Prudential Regulations and bank’s policy and procedures.
Issuance of ATM debit card and management of ATM machine.
Issuance & encashment of Pay Order, Demand Draft and Banker’s Cheque.
Issuance and encashment of fixed term deposit certificate.
Supervision of Cash transactions, Journal Voucher and Cheques clearing.
Customer complaints handling and Timely execution of customer’s standing instructions.
Recording of branch’s expenses and JVs.
Assist to Branch Manager for annual and quarterly budgeting for branch’s income, expenses, assets and liabilities.
Experience as Accounts Officer
01 November 2006
30 April 2008
Issuance Sales invoices and book the purchases at Head Office.
Recording of expenses in Head Office’s books of account.
Maintenance of different branch book of accounts at Head Office.
Bank Reconciliation Statement at the end of every month.
Reconciliation of inter-company transactions
Data providing to internal and external auditors.
Stock ledger maintenance.
Physically verification of stock at different time intervals.
Assist the Finance Manager to finalize the books of accounts.
Preparing different reports for Finance Manager regarding branches.
Master 01 November 2011
MBAOther 01 September 2006
Diploma in Cost and Management AccountingBachelor 01 July 2005
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