Naeem Iqbal

Accounts&Finance
Abu Dhabi


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Last Seen: 18 August 2023 6:43 PM

Skills
Financial statements preparation Financial reporting & Analysis Budgeting & Controlling Receivable & payable management Inventory management Fixed asset management ERP system working experience with implementation External audit
  • Experience
    8 Years
  • U.A.E Experience
    --
  • Industry
    Manufacturing
  • Nationality
    Pakistan
  • Visa status
    Employment Visa in UAE
  • Qualification
    Master - Cost and Management Accountant (CMA)
  • Driving License: yes
Other Matching Titles/Position
Industry Titles
Manufacturing

Summary of Career

1. • Preparing monthly profit and loss and balance sheet by taking data from ERP and ensuring all the transaction have been done.


2. • Recording month end adjustments including Salaries, prepaid, accruals and provisions.


3. • Reconciling modules with GL to make sure the logistic entries are going into proper accounts.


4. • Managing accounts receivable by generating and supervising customer sales invoices, payments and other adjustments in the ERP.


5. • Managing accounts payable by posting and supervising suppliers purchase invoices, payments and other adjustments in the ERP.


6. • Ensure tax amount are properly booked in the system and ensuring that tax invoices comply with the tax regulations and procedures.


7. • Provide and reconcile data for quarterly VAT report and file online VAT return and make VAT payment/claim.


8. • Recording of fixed assets in the system after opening proper asset ID and dimension.


9. • Managing Master Data by creating new ledger accounts, dimension, setting up customer/supplier.


10. • Setting up the Mapping Scheme for Integration of logistic module with GL, reconciling GL ledger accounts with logistic modules, Re-logging and remapping if changes are necessary.


Work Experience (Employment History)

Experience as Senior Accountant

  • Employer

    Galva Coat for Galvanizing & Lighting Poles

  • From

    16 June 2015

  • To

    30 September 2019

  • Detail

    Key Responsibilities related to ERP
    • Managing Master Data by creating new ledger accounts, dimension, setting up customer/supplier.
    • Setting up the Mapping Scheme for Integration of logistic module with GL, reconciling GL ledger accounts with logistic modules,
    Re-logging and remapping if changes are necessary.
    • Project closing in ERP after closing all the purchase orders, production orders and variances there off.
    • Creating Reoccurring JV in ERP, generating for the current period and posting after necessary changes.
    • Finalize Daily Batches and making sure that the transactions are closed in timely manner.
    • Perform Year End Check List to close the current year and Open New Year in ERP.
    • Liaison with ERP consultants & end user for new requirements (reporting and data entry), resolution of any problem, training related issues and
    customization.
    General Accounts and Finance
    • Preparing monthly profit and loss and balance sheet by taking data from ERP and ensuring all the transaction have been done.
    • Recording month end adjustments including Salaries, prepaid, accruals and provisions.
    • Reconciling modules with GL to make sure the logistic entries are going into proper accounts.
    • Preparing monthly bank reconciliation statements, co-ordinate with bank(s) to resolve any discrepancy.
    • Opening and closing the financial period.
    • Keeping track of bank financing by timely recording the acceptance and term receipt loans in the system, their monthly reconciliation and tracing
    the bank charges for individual transaction.
    • Handling two separate Division Accounts independently; entering sales, purchase invoices, and accrual in the system (QuickBooks).
    • Prepared Cost Sheets for two divisions, for quotation calculation and project profitability report.
    • Managing and Reconciling Sister Concern accounts for inter-company transaction adjustments for sale/purchase and other adjustments, to make
    sure no transaction is missing.
    • Member of Audit Committee, assisting auditors in performing the audit.
    Receivable and Payable Management
    • Managing accounts receivable by generating and supervising customer sales invoices, payments and other adjustments in the ERP.
    • Allocating invoices with payments and other adjustments in the system and prepare the aging analysis report along with comments.
    • Reconcile the accounts receivable ledger to ensure that all payments are accounted for and properly posted.
    • Managing accounts payable by posting and supervising suppliers purchase invoices, payments and other adjustments in the ERP.
    • Keeping track of ITBR (invoices to be received), continuously follow up with purchase department for closing of invoices.
    • Preparing the Letter of credit application, liaison with supplier for LC terms and following up with the bank for the LC opening.
    • Post customer and supplier payments by recording cash, checks, and entering them into the accounting software.
    Taxation
    • Ensure tax amount are properly booked in the system and ensuring that tax invoices comply with the tax regulations and procedures.
    • Provide and reconcile data for quarterly VAT report and file online VAT return and make VAT payment/claim.
    • Ensure all tax related documents are filed properly and are readily accessible in case the assessment is being called.

Experience as Accountant

  • Employer

    Gulistan Group of Companies

  • From

    10 September 2012

  • To

    31 October 2014

  • Detail

    • Assisting unit accountant in preparing monthly profit and loss and balance sheet.
    • Preparation of accounts payable and receivable Ageing Reports after allocating all the invoices with payment and other adjustments.
    • Preparing monthly bank reconciliation statements and resolving any issue.
    • Maintain sales and purchase register for sales tax with tax category and classification, calculate sales tax for monthly filing.
    • Review yearly provision for current and deferred income tax.
    • Maintain fixed assets register and pass entries if there is an addition, disposal, deletion and revaluation of fixed assets.
    • Record monthly adjustments for prepayments and accruals.

Experience as Assistant Accountant

  • Employer

    Eden Builders (Pvt) Ltd

  • From

    02 February 2011

  • To

    31 August 2012

  • Detail

    • Responsible for verifying and recording day to day journal entries in the system.
    • Reconciliation of Bank statements.
    • Recording of Accruals & prepayments in the system.
    • Assist project manager in processing payment applications monthly for multiple projects.
    • Ensure that client billings and subcontractors payments coincide with Project Construction Schedule.
    • Reconciliation of accounting and maintaining petty cash transactions and analyzing petty cash expenses.
    • Assist to manager for Preparation of monthly profit and loss and balance sheet report.

Academic Qualification

Bachelor 15 November 2007

Bachelor in Commerce (B.Com)

Master 05 September 2012

Associate in Public Finance Accounting (APFA)

Master 10 October 2013

Cost and Management Accountant (CMA)
Certifications
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