Amir Humza

Finance Manager
Ajman


Profile Views 248

Recommendations (0)

Skills
Financial Reporting Accounts Receivables Accounts Payables Cash Management Book Keeping VAT Profit And Loss Bank Reconciliation Branch Reconciliation Commission Microsoft Office Networking Oracle ERP
  • Experience
    9 Years
  • U.A.E Experience
    --
  • Industry
    Banking & Finance
  • Nationality
    Pakistani
  • Visa status
    Visit Visa in UAE
  • Qualification
    Master - Master of Business Administration - FInance from Hamdard University, Karachi, Pakistan.
  • Driving License: Yes
Other Matching Titles/Position
Industry Titles
Banking & Finance

Summary of Career

1. Managing VAT Related issues & Return Filing


2. Managing L/C process with bank (Import & Export).


3. Managing all Credit facilities for Debtors Local and Export.


4. Approving credit limits for customers & Risk Management


5. Properly motivate the credit and collections staff


6. Personally visit the potential customers to establish relations.


7. Monitor periodic credit reviews


8. Managing factory staff loan facilitations with management.


9. Closing monitoring all Purchase Orders from customers


10. Maintaining contract with clients to ensure invoices are clear for payment.


Work Experience (Employment History)

Experience as Finance & Credit Control Manager

  • Employer

  • From

    01 October 2016

  • To

    27 December 2018

  • Detail

    • Managing VAT Related issues & Return Filing.
    • Managing L/C process with bank (Import & Export).
    • Managing all Credit facilities for Debtors Local and Export.
    • Approving credit limits for customers & Risk Management.
    • Properly motivate the credit and collections staff
    • Maintain the corporate credit policy
    • Personally visit the potential customers to establish relations
    • Monitor periodic credit reviews
    • Managing factory staff loan facilitations with management.
    • Closing monitoring all Purchase Orders from customers
    • Maintaining contract with clients to ensure invoices are clear for payment.

Experience as Asst. Finance Manager

  • Employer

  • From

    04 October 2012

  • To

    30 September 2016

  • Detail

    • Preparing Monthly & Annual Financial Statements of Branches
    • Monitoring banks position on daily basis and also reconciling Bank Accounts on daily basis
    • Handling Petty Cash
    • Monthly Payroll processing under WPS System
    • Post all cash and bank transactions on daily basis and monthly JVs related to salaries and utilities etc.
    • Monitoring of Age wise Receivable/Payable Statements
    • Follow up for recoveries by email and visiting customers
    • Prepare and Check Sales Commission on monthly basis
    • Managing all customer related queries regarding invoices and payments
    • Assisting Finance manager in financial accounts, cash and bank position and on other financial activities to ensure smooth operations
    • Stock taking of finished goods items and chemicals on monthly basis in factory and warehouses
    • Monthly Audit of branches for stock and cash and resolve branch queries
    • Monitoring all accounts documents filing

Experience as Project Co-Ordinator

  • Employer

  • From

    01 October 2011

  • To

    30 September 2012

  • Detail

    • Involved in preparing preliminary analysis report of organization for implementation of new ERP software
    • Making feasibility report for implementation of ERP software (SQL Server dot net framework)
    • Being an active member of the team involved in implementation of ERP software.
    • GAP Analysis of the organization
    • Providing positive feedback to the customer if error found

Experience as Account's Officer

  • Employer

  • From

    01 January 2010

  • To

    30 September 2011

  • Detail

    • To make Letter of Credit against Import or Local Purchase and co-ordinate with bank.
    • Income Tax return online submission.
    • Sales tax returns online submission.
    • To Prepare Daily Bank Reconciliation sheet
    • To make vendor’s payments with coordination with factory accounts departments.
    • To Prepare Vouchers of Receipt + Payment (Cash & Bank & Journal & adjusting)
    • To Preparation of Different Reports (Operating expense report, Daily deposit sheet + Post Dated Cheque sheet)
    • To follow up of work related to particular department (such as stock inventory (AUDIT) + Markup and Bank Charges + cash flow etc.)

Experience as Assistant Accountant

  • Employer

  • From

    01 April 2009

  • To

    31 December 2009

  • Detail

    • To Prepare daily Recovery sheet
    • To Helps Sales Tax Return
    • To Reconcile (Tally) Sales Tax amount per month with customers
    • To Prepare Weekly Bank Reconciliation
    • To Prepare Vouchers of Receipt + Payment (Cash & Bank & Journal & adjusting)
    • To Feeding of Sales Tax invoices
    • To Prepare Reconciling particular department ledger with other factory division’s ledger at monthly basis.
    • To Prepare Adjusting entries against factory division receivable accounts at daily basis.
    • Count Inventory at quarter basis
    • Correspondence (replies to supplier by emails or fax)
    • Maintenance of Sales Tax registers at monthly basis

Academic Qualification

Matric 01 March 2001

Science Group, Board of Secondary Education, Karachi, Pakistan.

Intermediate 01 April 2003

Commerce Group, Board of Higher Secondary Certificate, Karachi, Pakistan.

Bachelor 01 April 2008

Commerce Group, B-Com from Karachi University, Pakistan.

Master 01 May 2012

Master of Business Administration - FInance from Hamdard University, Karachi, Pakistan.
Certifications
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