Zia Ur Rehman
Accountant Assistant
Abu Dhabi
Summary of Career
1. Perform Bank Reconciliation, Posting and balancing, perform any other accounting financial tasks as required from time to time.
2. Implementation of UAE VAT into the accounting system. TAX RETURN submission, dealing with TAX Authorities.
3. Liable for the project invoicing process, including responding to supplier inquiries
4. Review and Prepare time sheets and payrolls for work related to a project Review running expense in accordance with the established accounting standards and billing policy.
5. Finalization of accounts and depreciation of fixed assets.
6. Performed monthly payment requests, applying for payments, and assisting suppliers.
7. Having Quick Book and Analyst ERP Software experience
8. Maintain the general ledger including bank payments, bank Receipts, Cash Payment, Cash receipts and passing monthly vouchers
9. Prepared & Monitored Monthly Profit & Loss account and other financial statements when required
10. Petty cash management & cash reconciliation
Experience as Accountant
01 June 2019
Al Eslah Contracing is a member of Al Eslah Group, an Al Ain Based Company handling all constructing work relating to buildings, mosques, fences and water tanks. AL Eslah has broadened its horizon in providing services to clients both in private and government Sectors.
As an Accountant my duties are to recording financial Transactions in QuickBooks accounting system
Maintain accounts of clients, dealing with Suppliers Bank Reconciliation. Monthly Closing
And profit and loss account and pay roll management.
Experience as Account General
Khalifa Al Fahad Contracting L.L.C
30 July 2015
31 May 2019
Khalifa Al Fahad Contracting Company is an Emirates building Construction Company and has been active in residential, commercial and industrial construction plus properties development since 1980.
As an Account General my duties were to recording financial Transactions in Analyst Accounting System,Maintained petty cash and other expenses, dealing with Suppliers Bank Reconciliation. Monthly Closing and profit and loss account and pay roll management.
Master 30 April 2015
MBA (Banking & Finance)Bachelor 20 July 2011
B.comIntermediate 30 August 2009
D.comMatric 21 August 2007
SSC