Mohd Akheel
Accountant
Dubai
Summary of Career
1. Responsible for preparing company Cash Flow Statement, Cost of goods sold and Sales Reports on daily basis.
2. PrepareBank Reconciliation Statement andidentify errors related tocash books and Administered online banking functions
3. Maintain projects Income Statement Cost Estimation of Expenses related to Landscape projects.
4. Manage Dashboard sheets of Cost Center including expenses such as overtime and benefits to maintain budgets
5. Analyzing actual manufacturing costs and preparing periodic reports comparing standard costs to actual production costs
6. PreparingVAT(ValueAddedTax)quarterlyandfilingrespectively
7. Manage and coordinate physical inventory counts on monthly basis and generate reports for seniormanagement
8. Maintain records of inventory transactions which cannot be tracked through the system
9. Track and review all expenditures, reimbursements and expenses for comparison against budgets and develop reports to determine if budgetary goals are met
10. Assist in internal and external audits as required
Experience as Junior Accountant
31 March 2018
Junior Cost Accountant
Achievements/Tasks
Responsible for preparing company Cash Flow Statement, Cost of goods sold and Sales Reports on daily basis.
PrepareBank Reconciliation Statement andidentify errors related tocash books and Administered online banking
functions
Maintain projects Income Statement Cost Estimation of Expenses related to Landscape projects.
Manage Dashboard sheets of Cost Center including expenses such as overtime and benefits to maintain budgets
Analyzing actual manufacturing costs and preparing periodic reports comparing standard costs to actual production
costs
Collect Cost Information and maintain an expenses database
Responsible of Payroll function and commission reports
PreparingVAT(ValueAddedTax)quarterlyandfilingrespectively
Prepare budgeting reports (for the company and for each department). Analyze and report profit margin
Manage and coordinate physical inventory counts on monthly basis and generate reports for seniormanagement
Work with the materials review board to locate and dispose of obsolete inventory
Maintain records of inventory transactions which cannot be tracked through the system
Assist the controller with internal and external financial reporting requirements
Track and review all expenditures, reimbursements and expenses for comparison against budgets and develop
reports to determine if budgetary goals are met
Master 15 July 2017
MBA in finance