HaqNawaz
Accountant
Abhi Dhabi
Summary of Career
Experience as Accountant
Prime International
01 September 2018
24 August 2019
? Prepartion of Monthly, quarterly MIS, Budget & Cash Flow Management.
? VAT working knowledge, reconciliation & processing of refund if applicable.
? Recording, classifying and summarizing daily financial transactions, accruals entries using ERP software as well as managing prepayment schedule on every month.
? Account Payable Knowledge – Handling all vendor and inter group payments and posting.
? Responsible for Accounts Receivable, timely collection, eye watch on old outstanding.
? Liaison with Banks and monitor Banks Transactions, Bank Reconciliation and PDC’S.
? Prepare Salaries, wages, gratuity and Leave Salaries.
? Review & supervise necessary stock records to track the inward/outward of goods, conducting stock verifications & reconciling at regular intervals.
? Verify of Purchase, Sale, Receipt and Payment vouchers.
? Verification of accounts receivable, accounts payable, aging reports, reconciliation with vendor’s account and preparing of cheques
? Checking bank Accounts, updating of Cheques Prepared, Cheque withdrawals, Cheque Returned etc, Cash Deposited verification, Funds arrangement from branches and handling bank queries.
? Prepare monthly bank reconciliation statement.
? Supervision of various inventory reports and reconciliation.
? Handling & vouching for petty cash expenses.
Experience as Accountant
Prime International
01 September 2018
24 August 2019
? Preparation of Monthly, quarterly MIS, Budget & Cash Flow Management.
? VAT working knowledge, reconciliation & processing of refund if applicable.
? Recording, classifying and summarizing daily financial transactions, accruals entries using ERP software as well as managing prepayment schedule on every month.
? Account Payable Knowledge – Handling all vendor and inter group payments and posting.
? Responsible for Accounts Receivable, timely collection, eye watch on old outstanding.
? Liaison with Banks and monitor Banks Transactions, Bank Reconciliation and PDC’S.
? Prepare Salaries, wages, gratuity and Leave Salaries.
? Review & supervise necessary stock records to track the inward/outward of goods, conducting stock verification & reconciling at regular intervals.
? Verify of Purchase, Sale, Receipt and Payment vouchers.
? Verification of accounts receivable, accounts payable, aging reports, reconciliation with vendor’s account and preparing of cheques
? Checking bank Accounts, updating of Cheques Prepared, Cheque withdrawals, Cheque Returned etc, Cash Deposited verification, Funds arrangement from branches and handling bank queries.
? Prepare monthly bank reconciliation statement.
? Supervision of various inventory reports and reconciliation.
? Handling & vouching for petty cash expenses.
Bachelor 01 August 2014
B.com with scoring of 57% from Bahauddine zakrya university Multan PakistanBachelor 01 August 2014
B.com with scoring of 57% from Bahauddine zakrya university Multan PakistanBachelor 01 August 2014
B.comBachelor 01 November 2014
B.Com