Muhammad Arshad

Accountant
Abu Dhabi


Profile Views 204

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Skills
Internal Controls Financial Reporting Variance Analysis Petty Cash Management Depreciation Cash Management Accounts Payables Accounts Receivables MS Excell Ms Word Power point Filing/ Paper Management Journal Entries General Accounting
  • Experience
    5 Years
  • U.A.E Experience
    --
  • Industry
    Banking & Finance
  • Nationality
    Pakistani
  • Visa status
    Employment Visa in UAE
  • Qualification
    Master - MBA Finance/ Accounting
  • Driving License: Applied For
Other Matching Titles/Position
Industry Titles
Banking & Finance

Summary of Career

1. Handling Payables Section


2. General Accounting Entries


3. Conducting Internal Controls Tests


4. Managing Fixed Assets (CWIP, Capitalisation, Depreciation recording, Assets Retirment)


5. Managing and handling Phamracy Inventory


6. Handling Pharmacy Revenue, preparation of Journal entries and interfacing them in Lawson software


7. Handling unapplied cash by matching the payer and cash source details by coordinating with the pharmacy team


8. Preparing reconciliations on monthly basis.


9. Dealing with the auditors when required.


10.


Work Experience (Employment History)

Experience as Accountant

  • Employer

    Cleveland Clinic Abu Dhabi

  • From

    01 January 2018

  • To

  • Detail

    Coordinates with Suppliers/ Vendors via email, phone call and in person to schedule the invoice Submission Dates.
    Receive the invoices from Suppliers/Vendors for Goods (3 Way match), Services (2 Way Match), Credit Notes, Direct Expenses, Advance Payments etc.
    Review all the submitted invoices to ensure all required details are available and the supporting documents are attached.
    To inform vendors/suppliers after verifying/stamping the received invoices for them to pick the stamped invoices copies for their records.
    Scan all the received invoices in OCR to an OnBase shared File and upload them from OnBase to the Lawson module AP20.2 after matching all the necessary details.
    Receive Housing advance requests from HR, enter them as direct expense to get AP manager and director approvals.
    To coordinate with the Payroll team regarding housing expenses once processed.
    Prepare housing advance cheques and send all the signed cheques as per the bank mandate to Human Capital team for the requesters/employees to collect.
    Handle Payments by running a report in Lawson module AP150 to check the list invoices that are entered, released and approved for payment.
    To run a job in Lawson module AP161 to finalize the list approved by AP manager
    To send the approved payment batch to finance director to release the payment batch for payment as a final step.
    Doing Monthly ageing report analysis, Handling Suppliers monthly reconciliations.
    Handling Petty Cash (Reimbursement, Replenishment and Reconciliations).
    Inventory Internal Controls Test: Inventory Receiving, Issuance of inventory, Transfer, Pharmacy inventory, Inventory count (Cycle and Stock), Inventory Adjustments.
    Fixed Assets Internal Controls Test: Capital Expenditure requests, Fixed Assets Procurement, Fixed Assets receiving, Capital Work In Progress (CWIP), Fixed Assets Capitalization, Fixed Assets Transfers, Fixed Assets Disposal and Month End Closing.
    Handling Pharmacy Revenue, preparation of Journal entries and interfacing them in Lawson software. Handling unapplied cash by matching the payer and cash source details by coordinating with the pharmacy team. Preparing reconciliations on monthly basis.

Experience as Admin Assistant, Operation- PS Department

  • Employer

    Cleveland Clinic Abu Dhabi

  • From

    01 June 2013

  • To

    31 December 2017

  • Detail

    Oversee different KPI performance
    Reviewing and keeping department policies updated
    Arranging departmental trainings schedules for the staff
    Planning meetings and taking detailed minutes of meeting
    Responding to email enquires
    Maintaining electronic and hard copy filing records

Experience as Assistant Accountant- Trainee

  • Employer

  • From

    01 July 2012

  • To

    30 April 2013

  • Detail

    Coordinate with Head Office, GM Office, Payroll office via phone, email, Fax etc and
    Coordinate with workers directly in person regarding accounts office related issues.
    Perform day to day general accounting data entries of daily transactions by using
    accounting
    Software (Oracle Taxpro), Microsoft word and Microsoft Excel
    Preparation of Cash vouchers and bank payment vouchers
    Controlling and checking records of accounts payable and account receivable online
    Preparation of over time statement and advance salary vouchers
    Preparation of final dues vouchers
    Preparation of monthly time sheet of workers for salary
    Entries of Store requisition receipts by using accounting software Oracle (Taxpro)
    Perform a wide variety of secretarial tasks,
    Answer phone calls and create notifications in the system
    Utilize scanner, copier, telephone and printer to perform task

Academic Qualification

Master 31 December 2013

MBA Finance/ Accounting

Bachelor 31 December 2010

BSc Mathematics
Certifications
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