
Mohamm Qureshi
Experienced Group Payable Accountant with an experience of 6 Years in finance and accounting.Expertise in financial reporting, accounts payable, general accounting, VAT, payroll. I have an excellent communication skills and master in MS Excel. I have an experience of 6 years in the field of finance.
Last Resume Update | April 30, 2019 |
Address | Abu Dhabi, United Arab Emirates |
[email protected] | |
Phone Number | 0555885420 |
Experience
Group Accountant
Supervise work of accounts payable staff & ensure appropriate
working.
Overseeing routine department activities, such as disbursement
of cheques & processing payroll, to ensure they are completed
accurately on time.
Maintaining accurate & complete financial, employee & client
records.
Compiling, analyzing & reporting financial information to
management & Government agencies.
Analyze all vendor credit applications & resolve vendor issues.
Coordinate with internal & external auditors & ensure distribution of
appropriate funds.
Administer all disbursement demands & maintain record of the
same.
Develop and update journal entries and manage all ledger accounts.
Managing monthly closing of financial records and posting of month
end information.
Reconciling of all financial reports and preparing ageing report.
Timely coordinating with company signatory for signing of cheques
Accountant Accounts Payable & Fixed Assets
Initial implementation & setting up of MIMSYS (Sage300)
reporting across Nation hospital.
Post transactions to journals, ledgers and other records.
Review and verify invoices and check requests.
Enter and upload invoices into system.
Track expenses and process expense reports.
Prepare and process electronic transfers and payments.
Preparing the payroll.
Reconcile accounts payable transactions.
Prepare analysis of accounts.
Research and resolve invoice discrepancies and issues.
Maintain vendor accounts.
Correspond with vendors and respond to inquiries.
Produce monthly reports.
Assist with month end closing.
Provide supporting documentation for audits.
Create and monitor a system of controls ,procedures ,and forms for t
he recordation of fixed assets.
Recommend to management any updates to accounting policies relat
ed to fixed assets.
Assign tag numbers to fixed assets.
Periodic auditing of Fixed assets to ensure the physical existence of
all the assets.
Record fixed asset acquisitions and dispositions in the accounting sys
tem.
Track the compilation of project costs into fixed asset accounts and cl
oseout those accounts once the related projects have been completed.
Reconcile the balance in the fixed asset subsidiary ledger to the sum
mary- level accounting the general ledger.
Calculate depreciation for all fixed assets.
Review and update the detailed schedule of fixed assets and accumul
ated depreciation.
Conduct periodic impairment reviews for intangible assets.
Conduct periodic physical inventory counts of fixed assets.
Conduct analyses related to fixed assets as requested by management
.
Prepare audit schedules relating to fixed assets and assist the auditor
s in their inquiries.
Represent the company during any audits by a government that invol
ves fixed assets.
Track company expenditures for fixed assets incomparison to the cap
ital budget and management authorizations.
Assisted in the timely filing of VAT returns by consolidating input & o
utput tax.
Transaction Risk Analyst
Identifying risk involved in online transactions.
Responsible for funds transfer of Merchants.
Maintaining the Amazon Account Payment Gateway.
Buyer risk investigations & Merchant risk investigations.
Taking care of e-mails for both BRI and MRI.
Contacting the clients via email, phone or personally.
Working with quality management.
Involved in Workflow Management
Accounts Assistant (Payables & Receivables)
Process accounts and incoming payments in compliance
with financial policies and procedures.
Generate financial statements and reports detailing accounts
receivable status.
Perform day to day financial transactions, including verifying,
classifying, computing, posting and recording accounts receivables data.
Review all invoices for appropriate documentation and approval
prior to payment.
Maintain files and documentation thoroughly and accurately,
in accordance with company policy and accepted accounting practices.
Prioritize invoices according to cash discount potential and
payment terms;
Generate and send out invoices.
Assist with month-end closing.
Prepare bank deposits.
Communicate with customers via phone, email, or personally.
Follow up on, collect and allocate payments.
Maintain accounts receivable customer files and records.
Managing cash-flows related to day-to-day operational activities.
Responsible for supporting Branch Manager in day-to-day
management of the business.
Maintained satisfactory relationships with both internal &external
stakeholders while regularly exceeding expectations.
Accountable for producing various reporting packages.
Provided pertinent information in a courteous and professional
manner when explaining relevant policies and resolving client queries.
Actively pursued maintenance of high levels of service/quality.
Provide daily disbursements reports to branch head.
Make reports of cash outflow and cash inflow.
Maintaining the reports of daily cash coming in from various parties.
Responsible for the collection of payments from customers.
Business Process Associate
Worked as Process advisor web chat.
Help customers in account opening.
Help customers generate quotes for personal loans.
Manage excel based reports.
Education
Master’s in Business Administration
bachelor’s in business administration)