Muhammad sohail hanif

Accountant
Dubai


Profile Views 231

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Skills
Bank Reconciliation Accounts Payables & Receivables Audit & Taxation Use of Oracle Financials ERP Suite Tax Accounting including VAT
  • Experience
    7 Years
  • U.A.E Experience
    --
  • Industry
    Banking & Finance
  • Nationality
    Pakistan
  • Visa status
    Visit Visa in UAE
  • Qualification
    Bachelor - Bachelor's of Commerce
  • Driving License:
Other Matching Titles/Position
Industry Titles
Banking & Finance

Summary of Career

1. Manage cheque runs, debt activity, Vat return file also Organize and update the company tax database


2. Monitor analyze accounting data and produce financial reports or statements


3. Daily operations of the accounting department including Daily, weekly, monthly and end-year process


4. Regular monitoring of account software and initiate corrective actions, Assign projects and direct staff to ensure compliance and accuracy


5. Manage cash receipts, general ledger, payroll and utilities


6. Bank Reconciliations


7. Manage Petty cash and day to day updates record keeping and update reports


8. Accounts Payable and receivable


9. Internal Audit and Reconciliation of statement


10. Manage and post entries for Fixed Assets addition/deletion/depreciation and manage Fixed Asset Register


Work Experience (Employment History)

Experience as Associate Manager Finance

  • Employer

    Telenor Pakistan Head office

  • From

    23 February 2012

  • To

    20 May 2017

  • Detail

    Five Years of accounts payable Experience along with review & maintain prepayments, accruals, advances, vendor ledgers Input of data including invoices & credit notes. Daily fund transfer in utility companies account.
    To review reconciliation of Bank accounts with other Banks.
    Other duties, consistent with the role, as required from time to time by Manager and CFO.

Experience as Assistant Manager Finance

  • Employer

    UBank Micro Finance Pvt Ltd

  • From

    22 May 2017

  • To

    01 August 2018

  • Detail

    Manage and ensure proper recording and reconciliation of all expenses, Assets and Suppliers parked in GL account and posted accordingly with applicable Accounting Standards.
    Manage and post entries for Accounts Payable and Receivable during and after monthly, quarterly and yearly closing. Manage more than 100 Branches petty cash disbursement, Final settlement, Bank Reconciliation

Experience as Accountant

  • Employer

    Al Bandak Trading EST LLC

  • From

    05 August 2018

  • To

    06 February 2019

  • Detail

    Manage cash receipts, general ledger, payroll and utilities, petty cash, revenue and expenditure variance analysis, Bank reconciliations, trust account statement reconciliations.
    Perform month end roll over within 5 working days of the end of the month with processing of monthly payroll of all Staffs.

Academic Qualification

Bachelor 18 June 2009

Bachelor's of Commerce
Certifications
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