Sheharyar Khan
Finance Manager
Dubai
Summary of Career
1. Preparing monthly financial report such as Trial Balance, Profit Loss, Balance Sheet, and Cash Flow Statement.
2. Adept in Staff salaries through WPS (Wages protection System)
3. Look after matter related to Insurance Renewal/Placing Claims/Recovery of Company/Staff.
4. Accounts receivable and payable billing, collections and credit control.
5. Manage the general ledger and devote time to risk management, especially with regards to accounts receivable and prepare reports with reliable conclusion.
6. Interact with supplier for product specifications and costing - ensure inspection and documentation of incoming goods.
7. Holds expertise in conducting stock audit with proven ability to formulate audit plans, schedules and preparation of audit reports.
8. Verification on daily basis Sales order .Invoices, Customer Receipts & Payments details.
9. Developed strategies for customer retention and customer satisfaction
10. Petty and main cash management.
Experience as Finance Manager
Medinno (SMC-PVT) Ltd.
01 January 2019
31 October 2019
Preparing monthly financial report such as Trial Balance, Profit Loss, Balance Sheet, and Cash Flow Statement.
Adept in Staff salaries through WPS (Wages protection System)
Look after matter related to Insurance Renewal/Placing Claims/Recovery of Company/Staff.
Created a business plan for the start of the business.
Created marketing plans for the company to launch their product in the market.
Created a financial plan for the company to grow in upcoming years.
Conducted cost benefit analysis for the company to analyze the market growth.
Registered the company and managed the operations of the company.
Accounts receivable and payable billing, collections and credit control.
Inventory management
Managed the payroll of the company.
Compiled and analyzed financial reports and find discrepancies that require senior management’s attention.
Manage the general ledger and devote time to risk management, especially with regards to accounts receivable and prepare reports with reliable conclusion.
Experience as Finance Manager
Shanghai Sunrise Welding Group
01 June 2017
31 May 2018
Interact with supplier for product specifications and costing - ensure inspection and documentation of incoming goods.
Holds expertise in conducting stock audit with proven ability to formulate audit plans, schedules and preparation of audit reports.
Manage the company VAT while monitoring total income and deductions, statutory accounts, expenses, adjustments, VAT collection (for cash transactions), and VAT certificate generation.
Verification on daily basis Sales order .Invoices, Customer Receipts & Payments details.
Managed the staff and deal with their issues.
Prepared monthly and year-end financial reports.
Developed strategies for customer retention and customer satisfaction.
Petty and main cash management.
Reviewed constantly the customer’s feedback and suggest ways to improve the processes.
Conducted several market surveys to indicate the loopholes in the system.
Managed the working capital of the company.
Inventory management.
Worked with the accounting softwares of the company and help them to tune the softwares according to
the needs of the company.
Worked with the general manager to register the company.
Technically involved in implementing accounting software in 2 offices; ensured business continuity plan
during the implementation phase.
Devised effective strategies for preparing retail setup implementation plan and strategy for data conversion,
interfacing data from old packages to new, logic set-ups, and post implementation formalities
Bachelor 31 May 2019
I have completed my bachelor of business administration and my major was finance.