Mohammed zaheer Ahmed
Master of Business Administration (Finance)
Dubai ,UAE
Summary of Career
1. Prepare and review the payment package is completeness and accuracy before.
2. Prepare and process Vendors/Suppliers, Staff and Sub-recipients cheques on time.
3. Accurately entering customers account in the system for the A/R function.
4. Managed Petty cash ledger and prepare petty cash replenishment.
5. Preparation of cash voucher for cash collected and deposited into bank account.
6. Maintain a register for cash receipt and bank deposit entries and attach with the cash voucher with respective entries.
7. Prepare and maintain monthly local depository bank reconciliations.
8. Follow up daily cash activities to keep expenses in check on monthly basis
9. Preparation of all financial reports, including Profit and Loss Statement, Balance Sheet and Statement of Cash Flows, as well as the year-end financial reports.
10. Analyze and prepare soft and hard copy of month end closing packages within due date.
Experience as Accountant
02 August 2016
01 November 2019
Worked as an Accountant in Alfa Industries Hyderabad, India for a period of 1 Year (Oct 2018-Nov 2019)
Worked as an Assistant Accountant in Alfa Industries Hyderabad, India for a period of 2 Years (Aug 2016 - Sep 2018)
Master 02 May 2018
Master of Business Administration (M.B.A - Finance)