Muhammad Faraz Chaudhary

Accounting & Finance
Jeddah


Profile Views 195

Recommendations (0)

Skills
Cash Management management reporting Financial Analysis Budgeting & Controllling financial forecasting IFRS VAT
  • Experience
    13 Years
  • U.A.E Experience
    --
  • Industry
    Management
  • Nationality
    Pakistani
  • Visa status
    Visit Visa in UAE
  • Qualification
    Master - Major in Accounting & Finance
  • Driving License: Yes
Other Matching Titles/Position
Industry Titles
Management

Summary of Career

1. Cash Flow / Treasury Management


2. Working Capital Management


3. Financial Controlling


4. Budget Preperation


5. Assisting Year end External Audit


6. Looking after subsidiaries Companies


7. Product Pricing


8. New Suppliers Payments & Terms & Conditions


9. Managing Line of Credit with Bank , LC LG


10. Financial Reports


Work Experience (Employment History)

Experience as Accounts Officer & Inventory Controller.

  • Employer

  • From

    01 December 2006

  • To

    31 December 2007

  • Detail

    • Accountable for the monthly Physical Inventory of all materials/stocks.
    • Classifies, reviews and input data in the computer terminal according to prices, manufacturers name, part number/model number and stock number of certain materials through inventory control system (ICS)
    • Prepare report of all stocks on hand balance
    • Verifies, checks discrepancies on stock quantities, packaging, quality and pricing
    • Inspects materials in their storage locations to ensure that the sensitive are not deteriorated/damage for issuance purposes.
    • Relocation of materials/stocks received to their respective locations
    • Performs other duties and responsibilities assigned

Experience as Accounts Maintenance Officer.

  • Employer

  • From

    01 January 2008

  • To

    31 January 2010

  • Detail

    • Process opening, amendments and closing of customer’s Accounts/KYC AML Officer
    • Compliance with state bank prudential regulation (PR) and SOP
    • Close coordination with branches on Account Maintenance Activities
    • Backup of Supervisor CPU-central region, Account Maintenance
    • Process of foreign currency accounts
    • Coordination with branches and treasury office
    • Close interaction with Nostro banks (SCB NY, AMX Bank, Mashreq Bank, Shamil Bank and Bank of Bahrin)
    • Generation of all relevant reports related to Nostro and Vostro accounts
    • Currency Exchange regulation with State Bank of Pakistan
    • Opening of Letter of credit and Guarantees
    • Processing Account Opening Forms, Payment order, Demand draft, TDR’s
    • Process Inward and Outward Clearing

Experience as Accounting & Finance Manager.

  • Employer

  • From

    23 September 2011

  • To

    03 July 2016

  • Detail

    • Successful migration of accounting system to ERP with designing & implementation of new charts of account to check profitability of every location and cost centers.
    • Preparing projections and analyzing it's reflection on the financial position with relevant explanation to the Managing Director & Chairman.
    • Forecasting and controlling Company’s working capital requirements & monitoring treasury department to avoid cash out situations.
    • Carrying out risk assessment & ensuring compliance of contractual terms with business partners.
    • Organizing & coordinating with internal and external auditors (Ernst & Young) for reviewing and implementing their recommendations properly as per US GAAP, IFRS and SOCPA policy.
    • Calculate Variances, Analyze Financial Ratios, common size & index analysis.
    • Analyzing COGS, absorption costing to apply advanced costing techniques & methods.
    • Monitoring all aspects of monthly payroll, GOSI premiums & policies, EOSB & final settlement of employees.

Experience as Financial Manager/ Controller

  • Employer

    Rolaco Trading & Contracting

  • From

    10 July 2016

  • To

  • Detail

    • Successful implementation of new tax system (Value Added Tax) across all companies in GCC & integration with existing ERP accounting system.
    • Shifting from SOCPA to IFRS as per new accounting practices in the country.
    • Leading the formulation of company’s strategic plans, annual budgets and periodic forecasts.
    • Publishing & Distributing consolidated monthly financial statements to GM’s of divisions and Quarterly performance report to Board members & CEO.
    • Coordination with bank for line of credit, LG, LC & post financing and short terms loans.
    • Review all financial plans & budget regularly to look for cost reduction and profit maximization opportunities.
    • Developed the business process document and control system over accounting transactions to maintain and strengthen internal control.
    • Oversee the accounting operations of subsidiary corporations, especially their control systems, transactions processing operations and policy & procedures.

Academic Qualification

Master 13 October 2005

Major in Accounting & Finance
Certifications
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