Haider Ali
Accounts & Finance
Ajman
Summary of Career
1. • Preparing and managing general ledger accounting. • Adherence to the deadline and accuracy requirement.
2. • Compiling costing and profitability reports for all the projects for Country Head. • Performing all tasks concerning three phases of accounting which is classifying, recording, and summarizing.
3. • Petty cash management & posting of petty cash invoices. • Compiling and analyzing financial information to post the accounting entries to accounts, such as general ledger accounts, and documenting business transactions.
4. • Maintaining, and coordinating the implementation of accounting procedures. • Dealing with banks regarding LC opening, Bill discounting and other bank related issues. • Performing and handling receivable reconciliations.
5. • Preparing revenue, expense, payroll entries, invoices, and other accounting documents. • Reviewing historical accounting records and resolving if there is any accounting discrepancy. • Maintaining financial data bases, computer software systems and manual filing systems.
6. • Interact with internal and external auditors in completing audits. • Coordinating with HR regarding employees’ salaries and overtimes. • Handling all day to day accounting transactions.
7. • Ensuring all financial transactions is subject to company policies and international financial reporting standards on monthly basis. • Following all company policies and standard operation procedures as they pertain to accounting transactions in a controlled and consistent manner. • Verifying and reconciling accounts payables & receivables along with preparation and presentation of aging report through Pivot Tables.
8. • Maintaining and reconciling physical inventory with the system on monthly basis. • Performing Bank Reconciliations. • Prepare Import Payment Document and send to Bank • Prepare HSS Invoice
9. • Incentive Calculation of Distributor and Retailer on monthly Basis • TDS Deduction from all vendor as per Income Tax act 1961 • Prepare TDS Challan & Payment and Return • Prepare GST report and GST Return on monthly Basis • Prepare Fund Report and Budget • Assisting in finalization of P & L, Balance Sheet and Cash Flow • Support to Internal and External Auditor during Audit.
10. • Any other duties as assigned by the management. • Prepare Fixed Assets Register, Depreciation Calculation and Record in Books Of Accounts
I have won best employee of the Year 2017 in VIVO
Experience as Audit Executive
28 January 2008
27 July 2011
Job Profile as Audit Executive
• Sales Invoice Checking as per PO,
• Purchase Invoice Checking as per PO
• Bank Reconciliation as per Bank Book
• Verify Fixed assets Register and Depreciation
• Stock Audit as per Books and Stock Valuation
• Receipt and Payment Voucher
• Foreign Fluctuation Calculation
• Verify TDS, Service Tax , VAT, PF, & ESI as per Law
• Prepare Internal Audit Report, Concurrent Audit Report, Stock Audit Report as per Management
• Prepare Statutory Audit Report,
Experience as Accounts Executive
05 September 2011
30 March 2013
Job Profile as Accounts Executive
• Preparing, examining, and analyzing accounting records, financial statements, and other financial reports to assess accuracy and completeness.
• Preparing weekly bank reconciliation statement, making adjustments in cash book and tracing un-presented /un-cleared cheque.
• Maintaining trade receivable/payable ledgers with ageing receivable/payable analysis and reconciliation of individual receivable/payable ledgers with control accounts as well as with customer/supplier statements.
• Verifying invoices received from listed suppliers with goods received note, purchase order and signed by authorized signatory and ultimately initiating payments for suppliers their posting in software.
• Verifications of all journal vouchers, cash vouchers and all financial transactions.
• Recording journal entries into ledger and closing entries of accrual or prepayments.
• Petty cash Management.
• Preparing tax returns for filling purpose.
• Responsible for all taxes corporate tax, VAT, Service Tax and TDS.
Experience as Accounts Executive
15 April 2013
09 January 2015
Job Profile as Accounts Executive
• Preparing, examining, and analyzing accounting records, financial statements, and other financial reports to assess accuracy and completeness.
• Preparing weekly bank reconciliation statement, making adjustments in cash book and tracing un-presented /un-cleared cheque.
• Maintaining trade receivable/payable ledgers with ageing receivable/payable analysis and reconciliation of individual receivable/payable ledgers with control accounts as well as with customer/supplier statements.
• Verifying invoices received from listed suppliers with goods received note, purchase order and signed by authorized signatory and ultimately initiating payments for suppliers their posting in software.
• Verifications of all journal vouchers, cash vouchers and all financial transactions.
• Recording journal entries into ledger and closing entries of accrual or prepayments.
• Petty cash Management.
• Preparing tax returns for filling purpose.
• Responsible for all taxes corporate tax, VAT, Service Tax and TDS.
Experience as Sr Finance Executive
15 January 2015
26 October 2016
Job Profile as Sr. Finance Executive
• Prepare Sales Invoice as per PO daily Basis, Monthly Sales Report, Customer Reconciliation
• Prepare Incentive Calculation Sheet of Distributor, Retailer and Employee.
• Prepare Sales Price Policy of Distributor and Retailer
• Stock Verification on monthly Basis
• Vendor Invoice Checking and Approval on daily basis
• Preparing financial statements on monthly, quarterly and year end basis.
• Preparing monthly management accounts and doing financial analysis.
• Analyze sales Report and Incentive of Distributor Retailer and employee and Check profitability, Advise to Management
• Vendor Payment Review and Reconciliation
• Bank Reconciliation
• Prepare GST report and GST Return on monthly Basis
• Prepare VAT report monthly Basis and VAT Return Quarterly Basis
• Prepare TDS Challan on monthly basis and TDS Return Quarterly
• Prepare Service Tax report monthly Basis and Service Tax Return Quarterly Basis
• Income Tax Calculation
• Prepare annual accounts and related disclosures as per applicable framework, liaise and coordinate with external auditors and different departments for the preparation of schedules & details to ensure the timely completion of Audit.
• Prepare cash flow statements.
• Managed bank accounts, monitor cash-flow ensuring that sufficient funds are always available, arrange communication and correspondence letters and save them properly.
• Daily receipt and checking of invoices at closing before posting.
• Coordinated and Prepared details for audit and act on the recommendations of External Auditors.
• Reconciliation of individual receivable accounts & accounts receivable managements.
• Entertaining supplier’s / customer’s queries.
• Maintain updated vendor / customer files and file numbers in computerized as well as manual form.
• Compile and analyze financial information to prepare entries to accounts, such as general ledger accounts, and document business transactions.
• To ensure the proper recording of sales and purchase by reviewing source documents and proper cut off at month end.
• Preparation of valuation of Inventories.
• Ensure the confidentiality and security of all financial and employee files.
• Prepare Fixed Assets Register, Depreciation Calculation and Record in Books Of Accounts
• Finalization of Accounts.
• Performed other reasonable duties assigned by the Finance Head.
Experience as Sr Finance Executive
02 November 2016
24 March 2018
Job Profile as Sr. Finance Executive
• Prepare Sales Invoice as per PO daily Basis, Monthly Sales Report, Customer Reconciliation
• Prepare Incentive Calculation Sheet of Distributor, Retailer and Employee.
• Prepare Sales Price Policy of Distributor and Retailer
• Stock Verification on monthly Basis
• Vendor Invoice Checking and Approval on daily basis
• Preparing financial statements on monthly, quarterly and year end basis.
• Preparing monthly management accounts and doing financial analysis.
• Analyze sales Report and Incentive of Distributor Retailer and employee and Check profitability, Advise to Management
• Vendor Payment Review and Reconciliation
• Bank Reconciliation
• Prepare GST report and GST Return on monthly Basis
• Prepare VAT report monthly Basis and VAT Return Quarterly Basis
• Prepare TDS Challan on monthly basis and TDS Return Quarterly
• Prepare Service Tax report monthly Basis and Service Tax Return Quarterly Basis
• Income Tax Calculation
• Prepare annual accounts and related disclosures as per applicable framework, liaise and coordinate with external auditors and different departments for the preparation of schedules & details to ensure the timely completion of Audit.
• Prepare cash flow statements.
• Managed bank accounts, monitor cash-flow ensuring that sufficient funds are always available, arrange communication and correspondence letters and save them properly.
• Daily receipt and checking of invoices at closing before posting.
• Coordinated and Prepared details for audit and act on the recommendations of External Auditors.
• Reconciliation of individual receivable accounts & accounts receivable managements.
• Entertaining supplier’s / customer’s queries.
• Maintain updated vendor / customer files and file numbers in computerized as well as manual form.
• Compile and analyze financial information to prepare entries to accounts, such as general ledger accounts, and document business transactions.
• To ensure the proper recording of sales and purchase by reviewing source documents and proper cut off at month end.
• Preparation of valuation of Inventories.
• Ensure the confidentiality and security of all financial and employee files.
• Prepare Fixed Assets Register, Depreciation Calculation and Record in Books Of Accounts
• Finalization of Accounts.
• Performed other reasonable duties assigned by the Finance Head.
Experience as Assistant Manager Accounts and Finance
05 April 2018
30 October 2019
Job Profile as Assistant Manager Accounts & Finance
• Preparing and managing general ledger accounting.
• Adherence to the deadline and accuracy requirement.
• Compiling costing and profitability reports for all the projects for Country Head.
• Performing all tasks concerning three phases of accounting which is classifying, recording, and summarizing.
• Petty cash management & posting of petty cash invoices.
• Compiling and analyzing financial information to post the accounting entries to accounts, such as general ledger accounts, and documenting business transactions.
• Maintaining, and coordinating the implementation of accounting procedures.
• Dealing with banks regarding LC opening, Bill discounting and other bank related issues.
• Performing and handling receivable reconciliations.
• Preparing revenue, expense, payroll entries, invoices, and other accounting documents.
• Reviewing historical accounting records and resolving if there is any accounting discrepancy.
• Maintaining financial data bases, computer software systems and manual filing systems.
• Interact with internal and external auditors in completing audits.
• Coordinating with HR regarding employees’ salaries and overtimes.
• Handling all day to day accounting transactions.
• Ensuring all financial transactions is subject to company policies and international financial reporting standards on monthly basis.
• Following all company policies and standard operation procedures as they pertain to accounting transactions in a controlled and consistent manner.
• Verifying and reconciling accounts payables & receivables along with preparation and presentation of aging report through Pivot Tables.
• Maintaining and reconciling physical inventory with the system on monthly basis.
• Performing Bank Reconciliations.
• Prepare Import Payment Document and send to Bank
• Prepare HSS Invoice
• Incentive Calculation of Distributor and Retailer on monthly Basis
• TDS Deduction from all vendor as per Income Tax act 1961
• Prepare TDS Challan & Payment and Return
• Prepare GST report and GST Return on monthly Basis
• Prepare Fund Report and Budget
• Assisting in finalization of P & L, Balance Sheet and Cash Flow
• Support to Internal and External Auditor during Audit.
• Any other duties as assigned by the management.
• Prepare Fixed Assets Register, Depreciation Calculation and Record in Books Of Accounts
Master 22 July 2015
I have done MBA in Finance from MGUBachelor 30 December 2009
I have done B.Com from LNMU in Accounts