Muhammad Ishaq


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Last Seen: 03 July 2022 11:42 PM

Skills
Accounts Receivable Operational Budgeting Treasury Claims settlement Accounting profit and Loss Account Balance Sheet
  • Experience
    12 Years
  • U.A.E Experience
    4 Years
  • Industry
    FMCG
  • Nationality
    Pakistan
  • Visa status
    Visit Visa in UAE
  • Qualification
    Other - CMA B Grade Certificate of merit in Financial Accounting
  • Driving License: No
Other Matching Titles/Position
Accountant
Finance Manager
Chief Accountant
General Manager
Assistant Manager Finance
Industry Titles
FMCG
FMCG
Facility Management

Summary of Career

1. Collections of Cheqs and depositing into banks


2. Daily Collection Report


3. Settlement of Monthly claims of trade spending


4. Monthly Account Reconciliations with Distributors


5. Maintain Record of Trade Assets


6. Doing Sales Analysis


7. Doing Business Analysis


8. Passing Journal Entries of Transactions into system


9. Monthly Bank Reconciliation


10. Preparing Profit and Loss Account and Balance Sheet


Work Experience (Employment History)

Experience as Accountant

  • Employer

    Al Sharq Facility Management

  • From

    11 January 2012

  • To

    17 December 2015

  • Detail

    Depositing cheqs into bank on daily basis. Preparing daily Accounts Receivable and Payable reports. Doing monthly payroll of employees in wages protection system (WPS). Daily basis payments to vendors for their claims. Daily invoicing for maintenance works and other contracts of facility Management Company. Doing daily Journal entries in Peach Tree Accounting systems. Preparing monthly bank Reconciliations Statements Profit and Loss Account and Balance sheet. Doing daily basis business analysis as required by Management.

Experience as Financial Analyst

  • Employer

    Nestlé Pakistan Limited

  • From

    01 January 2016

  • To

    To date

  • Detail

    Collection &Preparing daily collection report and sending to head office. Coordination with treasury department for cleared and bounced cheqs. Doing monthly Accounts Receivable Reconciliations with distributors. Checking and verifying monthly claims of trade spending expenses and sending it to head office. Doing Sales business analysis as required by management and Fuel claims verification then sending it to head office for approval. Maintaining record of regional trade assets for North Zone.

Academic Qualification

Matric 11 July 2000

Physics, Chemistry, Biology, Mathematics A Grade

Intermediate 31 August 2002

Physics, Mathematics, Computer Science B Grade

Bachelor 22 August 2007

Economics, Sociology, English Language B Grade

Other 13 June 2012

CMA B Grade Certificate of merit in Financial Accounting
Certifications

CMA

  • Duration
    four years
  • Description
    CMA
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