Muhammad Akbar Khan
Assistant Manager Accounts & Taxation
Al-Ain, Abu Dhabi.
Summary of Career
1. Implement accounting systems and prepare financial information for individuals, departments within organizations, businesses and other establishments.
2. Maintain and examine accounting records and prepare financial statements and reports.
3. Develop and maintain cost finding, reporting and internal control procedures
4. Analyse financial accounts and records and prepare VAT returns as per Federal Tax Authority United Arab Emirates laws.
5. Manage different portfolios of accounts department individually (Payable, Receivables, Inventory and Bank).
6. Effectively communicate and negotiate with different departments and vendors.
7. Prepare or co-ordinate the preparation of financial statements, summaries, and other cost-benefit analyses and financial management reports
8. Post and analyse journal and ledger entries and effectively manage internal and external audits.
9. Working expertise on using different softwares and ERP (S.A.P., Oracle, Sage, QuickBooks, C.T.L., Discoverer, and A.A.A.) etc.
10. Evaluate financial reporting systems, accounting procedures and make recommendations for changes to procedures, operating systems, budgets and other financial control functions to senior managers and other department or regional managers.
• Nine(9) months consecutive incentive on the highest sales I have received Nine(9) months consecutive incentive on the highest sales and Mania Plus from the C.O.O. of Pizza Hut Pakistan.
• Won many fraud international cases and appreciated by Assistant Vice President of Anti-Fraud Unit. • Issuing portfolio; recovered funds & by efficient case management no discrepancy found in annual audits.
Experience as Senior Accountant
AL Khaja Stores L.L.C.
26 November 2017
Assignments and Responsibilities:
• Surveillance of all cash and credit transactions, Reconcile bank accounts and reporting on a daily basis.
• Monitor the status of accounts receivable & follow up for timely collection with proper breakups.
• Maintain and distribute an accurate listing of overdue accounts and suspensions in accordance with company policies.
• Collecting receivables on time without breaking a relationship with debtors/clients.
• Process vendor and supplier invoices, in a timely manner, verifying the accuracy, approvals, and month-wise reconciliation of creditor ledger and identify and resolve discrepancies.
• Communicates with suppliers regarding the status of invoices and payments.
• Manage petty cash, associated expenses and ensure financial records are maintained including a proper audit trail.
• Prepares payment vouchers and associated reports, as required in accordance with company schedules.
• Post and analyze journal and ledger entries and prepare financial information for individuals, departments within organizations, businesses and other establishments
• Prepare monthly payment plan based on creditor's aging report, Fund availability & priority listing.
• Internal inventory audits of all branches, inter-bank reconciliation, stock correction and reconciliation of cash books.
• Prepare the financial statements, summaries, and other cost-benefit analyses and financial management reports.
• VAT filing and payment through online F.T.A. portal and ensure all the physical data stored under a safe environment as per the standards.
• Prepares special financial reports by collecting, analyzing, and summarizing information and trends.
• Recommends financial actions by analyzing accounting options.
• Secures financial information by completing database backups
• Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Achievements;
• Implementation of the pharmacy management system (E.R.P.) and filled VAT without any fine or discrepancy.
• Successfully establish processes as per FTA UAE and successfully conducted annual audits.
Experience as Financial Analyst
United Bank Ltd. Pakistan
09 May 2016
22 September 2017
Assignments and Responsibilities:
• Working information of both acquiring and issuing portfolio.
• Monitor, assess, inspect, and act in response to disputes received by a range of clients.
• Efficiently research and present proof to authenticate transactions.
• Assist in State bank audits in different departments of consumer operations on a quarterly basis.
• Ensure all the physical data stored in the U.B.L. warehouse is properly organized and stored in a safe environment.
• Maintain severe adherence to local and international charge-back official procedures.
• Provide a high standard of specialized, considerate and responsive service at the same time as maintaining or exceeding the recognized standards for charge-back productivity and excellence.
• Management of treasury funds received and reconciles all 7 accounts on a daily basis.
Achievements;
• Won many fraud international cases and appreciated by Assistant Vice President of Anti-Fraud Unit.
• Issuing portfolio; recovered funds & by efficient case management no discrepancy found in annual audits.
Experience as Senior Accountant
Homeshopping Network (E-commerce)
15 June 2015
07 May 2016
Assignments and Responsibilities:
• Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
• Negotiation with Vendor and Supplier's, Issue Vendor’s payment, Reconciliation of ledgers and release payment on time as per aging.
• Effectively dealing with courier services for timely recovery of cash on delivery and product return items and issue a proper invoice against every product.
• Managing Accounts Receivable by ensuring receipt on time by proper review and analysis of the aging report and investment analysis.
• Managing the Accounts Payable by ensuring suppliers’ payment on time, regular review of the aging report and timely monthly closing of accounts payable.
• Funds Management through proper scheduling of payments & receipts.
• Managing General Cash needs by successfully forecasting the receipts and payments.
• Party balances, Inter Unit reconciliation, and Bank reconciliation statements.
• Reconciliation of Accounts Payable to General Ledger.
• Monitoring cash flow through the cash flow statement to track fund position at any given time.
• Responsible to update of all Invoices, payments, returns, and purchases.
• Making of the Stock reports on a weekly basis and coordinate with their product category managers.
• Handle monthly, quarterly and annual closings.
• Actively participated in audits of different outlets in Karachi, Lahore, and Islamabad.
• Assist and responsible for keeping all data related to internal and external audits.
Achievements;
• Employee of the month and get an appraisal with 3 months for extraordinary performance.
• Recover outstanding C.O.D. funds from couriers companies and from vendors by reconciling ledgers.
Experience as Accountant
Portia Fabrics (Textile group)
01 January 2014
13 June 2015
Assignments and Responsibilities:
As Accountant (9 Months);
• Manage Accounts Receivable and Account payable.
• Generate invoices, quotations & service agreement letters.
• Cash and Credit sales analysis, sales forecasting and other financial reports.
• Making payroll of all the employees & Reconcile all banking transactions.
• Post expenses to appropriate accounts as per the stores/cost centers in an automated accounting system.
• Daily in and out inventory reports, Co-ordination with local parties and physical audits of local shops and warehouse.
• Efficient follow up's and coordination for the recovery of funds.
• Filling of the sales tax return and keeping all the data for financial and physical audits.
• Manage vendors and schedule their payments according to their balances and time frame.
• Post and analyze journal and ledger entries, prepare sales ledger of different stores and managing bill books.
• Accurately recording of Purchase transactions, preparing their payments according to their schedule ensure the correctness of all invoices received and reporting on a monthly basis.
As Assistant Accountant (5 months);
• Check and update all cash and credit sales reports on a daily basis and monitor variances.
• Update petty cash vouchers and other expense vouchers inside the system.
• Inventory checks and physical record taking, providing inventories in shops.
• Collect and record rent, electricity and other utility invoices from all branches.
• Tax filling record-keeping and reconcile bill books of all branches.
Achievement;
• Implemented Point of sale efficiently and got many appreciations from the team.
Experience as Admin Coordinator
Pakistan Telecommunication Limited Company (PTCL)
14 January 2013
31 January 2015
Assignments and Responsibilities:
• Liaison with different stack holder i.e. PTCL HQ, NMS, IPNOC, operation team for fault troubleshooting rectification & commissioning of a new circuit.
• Rooster making, assigning duties as per workload, attendance & active users reports.
• Prepare various reports (I.e. R.F.O. outage report, Daily/Weakly/Monthly complaint resolution report, and Service Level Report and Accuracy report on an hourly basis).
• Coordination with different corporate users and rectification team.
Achievements:
• Employee of the month 4 times on best administrative support and services.
Experience as Team Leader - Call Center
Pizza hut
23 September 2010
31 December 2012
Assignments and Responsibilities:
As Team Leader (19 Months);
• Control over Abandoned calls by efficiently using active & break hours of every agent.
• Closely monitor calls status, Raise concern if any calls in queue.
• Complaint Management: Logging, follow-up and resolution, Assure each complaint is logged as & when it comes & follow up on complaint status with branches and the concerned personnel.
• Create various reports of dejected customers & Performance reports of my team on daily basis.
As Customer Service Representative (7 Months);
• Take orders and query calls from all over Pakistan & forward orders to different branches as per radius.
• Log complaints and raise follow up on orders.
Achievements;
• Seven(7) months consecutive incentive on the highest sales I have received Nine(9) months consecutive incentive on the highest sales and Mania Plus from the C.O.O. of Pizza Hut Pakistan.
Matric 01 August 2008
From Karachi board in Computer scienceIntermediate 01 June 2011
From the Board of Intermediate Education Karachi in Pre EngineeringBachelor 01 December 2014
From the University of Karachi in Commerce (B.Com.)Master 01 December 2018
From Shah Abdul Latif University in Economics(M.Economics)Other 27 December 2019
Post Graduate Diploma in Public Accountancy from the Institute of Certified Public Accountant of Pakistan (I.C.P.A.P.)Other 31 July 2020
Certified Public Accountant (C.P.A.) partially completed (Papers completed 12/16).