I am a finance & audit professional with diversified experience in Corporate Farming, Garments, Hospitality, Client Servicing and Retail Industry. I have good work-management, analytical, interpersonal and computer skills. Seeking good opportunity in well reputed organization to excel my knowledge and skills.
Enter Description
Perform and review monthly WIP & RTW audits along with report finalization with findings for the management review.
Planning, execution, and supervise the nationwide Hand Over-Take Over audits, Warehouse audits, and Nationwide branch audits along with report finalization and acknowledgement.
Supervise closure audits of nationwide branches and e-commerce warehouse.
Compilation of excess or shortage of stock for inventory adjustment and recovery.
Pre audit of monthly group payroll along with O.T.
Review payment and rental post-audit findings and share observations to finance department for rectification and process improvements.
Review and share post-audit findings with retail operations for barcode inaccuracy, shortage deduction and recovery, open transfer orders, customer complaint and pullback.
Review and share post-audit findings with production department for WIP, RTW, leftover fabric, hold articles at finishing on monthly basis.
Perform pre-audit of sales incentives, full & final settlements.
Assist audit-lead in compilation of reports for audit review (Retail & Production Department).
Assist audit-lead in compilation of reports for monthly minutes of meeting (Retail & Production Department).
Accountant for Ginsoy’s Johar’s Branch.
-Responsible for overall bookkeeping, e-filing and monthly account closing.
-Monthly inventory reconciliation and valuation.
-Daily/monthly sales report compilation.
-Receivables & payables aging monitoring.
-Bank & intercompany reconciliations.
• Deputed at "Schneider Electric Pakistan" as FP&A.
• Review and postings of payroll, scrap sales, banking transactions in SAP.
• Bank reconciliations along with follow-up with Credit Controller and Treasurer for timely postings in SAP.
• Review and postings of full and final settlements of exiting staff.
• Review and confirm quarterly mark-up on RF facilities.
• Schedules for accruals and provisions in SAP on monthly basis.
• Schedules for prepaid expenses and monthly postings in SAP.
• Responsible for France operated Liaison Office in Pakistan (Overall Accounting in SAGE-Cloud100).
• Working and Postings of Bonus, Gratuity, LFA, OPD Claims, and Other Journal Vouchers in SAP.
• Other tasks assigned by reporting manager.
• Deputed at "Powerchina Harbour Co. Limited" as Assistant Manager.
• Overall bookkeeping in QuickBooks desktop.
• Prepare monthly bank reconciliation.
• Prepare Income Tax (Suppliers & Individuals) & Sales Tax working for monthly Tax filings.
• Provide general consultation on tax deductions on client queries along with accounting matters/communication with company management and other stake holders.
• Assist tax department on responding to letters receive from tax authorities.
• Maintaining fixed asset register.
• Prepare management accounts.
• Assist in annual audits.
• Bookkeeping of multiple branches including E-Filling.
• Tracking of food costs on routine with budgeted.
• Prepare monthly accounts, WHT & ST working.
• Perform internal audits for store, branches and payrolls.
• Monthly inventory reconciliation and valuation.
• Inter-company correspondence for receivable recoveries.
• Compiling annual returns with HOD.
• Hands on experience on Online QuickBooks & integrated up-loader.
• Performing audit cycle including risk management and control management over operations' effectiveness.
• Monitoring SOP compliance with all applicable directives and regulations.
• Determining internal audit scope.
• Processing of supplier payments.
• Export realization reconciliation and postings.
• Bank & inter-company reconciliations.
• Hands on experience on SAP (Financials).
• Treasury Management.
• Monitoring production, sales and receivables.
• Payroll processing for management and non-management staff.
• Prepare monthly Management Accounts.
• Hands on experience on custom software (Purchase Order, Inventory, SHMA General Ledger).
• Controlling of receivable aging and customer balances.
• Monitor milk production, inventory and sales.
• Corporate and Non-corporate billing, along with STAX returns details.
• Occasionally process supplier payments as directed by HOD.
-Herd Management of more than 1000 animals including 500 milking cows on spreadsheets & D.I.S(Dairy Information Systems).
-Daily Feed formulation, feed costing and feed-store inventory management.
-Animal costing for insurance claims of dead/culled livestock.
-Assist manager-farm operations, farm-manager & manager finance.
-Assist in performing physical inventory audit on weekly and on monthly basis.
Mohammad Shakeib blends creativity and innovation with organization and strategy.
Mohammad Shakeib is harworker, responsive, and intellectual personal who can adjust in any kind of environment. He has all the business admin skills, nurtured in university life, needed to prove his worth in organisations.