Muhammad Umar Hayat Yahya
Accounts/Finance/Audit
Dubai
Summary of Career
1. Recording financial information and maintaining all the financial records for the organization.
2. Preparation and submission of daily and monthly financial reports.
3. Verification of daily financial entries.
4. Raising Invoices to credit customer and prompting them for payment on regular basis.
5. Dealing with supplier’s accounts department for reconciliation of amount owed and other matters.
6. . Recording and payment of payroll of all employees on timely basis.
7. Preparation of bank reconciliation statements and maintaining its record
8. Assist Senior Management in preparation of Annual Accounts.
9. Preparing Compliance Reports and ensuring their timely submission to relevant regulatory body
10. Petty cash management.
Experience as Accounts & Tax Asociate
Muhammad Hussain & Co. Management Consultants
01 January 2014
31 May 2015
The management Consultancy firm, providing services related to Income tax, Sales tax, Accounts, and company incorporation matters.
1. Key responsibilities include;
2. Maintaining Clients Data.
3. Registering Clients for Income Tax and Sales Tax.
4. Preparation of Clients financial Statements.
5. Assisting my senior with preparation of Income Tax and Sales Tax Returns.
6. Company incorporation and compliance related issues fulfillment.
7. Clients Book Keeping.
8. Submitting the documents/forms with Government regulatory bodies.
Experience as Accountant
Multan LPG (Pvt.) Ltd
01 July 2016
31 August 2019
The leading Liquefied LPG Marketing company, providing LPG around the region.
Key responsibilities;
1. Recording financial information and maintaining all the financial records for the organization.
2. Preparation and submission of daily and monthly financial reports.
3. Verification of daily financial entries.
4. Raising Invoices to credit customer and prompting them for payment on regular basis.
5. Dealing with supplier’s accounts department for reconciliation of amount owed and other matters.
6. Recording and payment of payroll of all employees on timely basis.
7. Preparation of bank reconciliation statements and maintaining its record.
8. Assist Senior Management in preparation of Annual Accounts.
9. Preparation and submission of Monthly Sales Tax Returns.
10. Preparation and submission of Annual Income Tax Returns.
11. Preparing Compliance Reports and ensuring their timely submission to relevant regulatory body.
12. Providing the relevant information to the external auditors for the audit of financial statements.
13. Petty cash management.
14. Inventory Management.
15 Logistics invoicing and prompting for payments.
Other 16 April 2018
ACCA (Association of Chartered Certified Accountants)