Aurangzeb
Accountant
Dubai
Summary of Career
1. Monitor invoicing, payment procedure and compliance with terms between organization & vendors.
2. Ensure accurate cost coding and recording of expense and income tax withheld according to US tax la
3. Independently handling corresponding with supplier, client, auditor and bank
4. Bank account reconciliation, daily bank position report submitting to finance manager for fund arrangement
5. Record ACH and Wire payments made from bank accounts.
6. Integration of processed invoices on Microsoft Dynamics GP for check run to make payment to vendor
7. Assist finance manager in all corporate related matter
8. Supervising accounts payable teams in US & Pakistan and reviewing work done by them.
9. Assisted external audit in performing interim and annual audit.
10. Accounts payable reporting to vice president finance, Finance director and finance manager at day end.
Experience as Senior Accountant
16 February 2015
31 March 2018
My job descriptions at Frontier Ceramics Limited Accounts department are as follows
Bookkeeping on monthly, quarterly & annual basis as per requirement of Securities & Exchange Commission of Pakistan & Pakistan stock exchange for listed companies.
Prepared sales invoices, bank payment vouchers, bank receipt vouchers, cash payment vouchers, cash receipt vouchers and journal vouchers
Reconciled all types of statements and accounts including bank, debtors and creditors
Co-ordinated with accounts receivables and payables departments, and prepared aging analysis for these departments
Prepared payroll of employees of the company
Maintained petty cash and resolved any discrepancies, ensuring safe custody of petty cash and reconciliation of the petty cash ledger
Verified and reconciled bank statements with daily collections received by sales department.
Maintained records of postdated cheques (PDCs) issued and received, making sure that there are sufficient funds in the accounts to avoid any bounced or returned Cheques.
Preparing reports from accounting software as required by manager finance.
Disburse travel & meal advances and regularize claim as per company policy with supporting documents.
Any other task assigned by mangers.
My job descriptions at Frontier Ceramics Limited Tax & Audit department are as fellows
Assisted internal and external audit in performing interim and annual audit
Planned, executed, and supervised annual and interim inventory counts
Resolving queries of auditors
Withholding taxes of vendors based on their services & supplies.
Filed (monthly) income tax and sale tax returns.
Filed individual tax returns.
Communication returning tax office (RTO) during the tax audit of the company
My job descriptions at Frontier Ceramics Limited Corporate Affair department are as fellows
Assisted Company Secretary in the corporate affairs matters of the company to ensure compliance with Code of Corporate Governance issued by Securities & Exchange Commission of Pakistan
Company Incorporation. (Two Companies has incorporated)
Filing statutory form regarding appointments of chief executive officer, Auditors, Legal Advisor, and Company Secretary.
Liaising with Pakistan stock exchange and Securities & Exchange Commission of Pakistan for submission of quarterly, half yearly & annual financial statements of company.
Respond to inquiries of Securities & Exchange Commission of Pakistan and Pakistan stock exchange.
Making minutes of board meeting.
Experience as Senior Accountant
Falcon Holdings Management LLC
02 April 2018
16 January 2020
Monitor invoicing, payment procedure and compliance with terms between organization & vendors.
Ensure accurate cost coding and recording of expense and income tax withheld according to US tax laws.
Control day to day accounting activities and recommend solution.
Provide up to date report on running project to management.
Independently handling corresponding with supplier, client, auditor and bank.
Bank account reconciliation, daily bank position report submitting to finance manager for fund arrangement
Record ACH and Wire payments made from bank accounts.
General ledger and vendor statement reconciliation and determine action within clearly defined by guidelines.
Integration of processed invoices on Microsoft Dynamics GP for check run to make payment to vendor.
Assist finance manager in all corporate related matter.
Managed revenue, variance and expense reports reconciled credit card purchases.
Ensure monthly, quarterly and yearly closing is according to dead line set by given by management.
Assisted external audit in performing interim and annual audit.
Supervising accounts payable teams in US & Pakistan and reviewing work done by them.
Accounts payable reporting to vice president finance, Finance director and finance manager at day end.
Master 09 April 2018
ACCA Member