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mohamed abusufiyan CASHIER CUM ACCOUNTS

UAE
LNMRMSMS OfficeTally

ABUSUFFIYAN. M

 

Mobile: 00971 55 20 76 76 2

 

E-MAIL : [email protected]

[email protected]

 

CAREER SUMMARY

-Efficient and organized  professional with 9 years of experience in accounting systems.
-Strong analytical and problem solving skills. Ability to make analytical decisions.
-Excellency in communication skills. High moral values, trustworthy and professional approach.
-Efficient in multitasking and goal oriented.

 

PAN Emirates Furniture, Sharjah, U.A.E

Counter Incharge

Feb 2014 – Till Date

 

Ø  Pan Emirates furniture is a well known home furnishing outlet across the UAE and the GCC countries

Ø  Pan Emirate’s main strength in variety of product offered less than one roof to the customers.

Ø  Finest and widest range of furniture and accessories with a vision to be Lifestyle Innovators.

 

JOB DETAILS

 

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Ø  Issuing orders and arranging materials and cash collection.

Ø  Verification of the Debtors balances with accounts, debt clearance, and set-off post dated transactions.

Ø  Reconciliation of Accounts Receivables

Ø  Preparation of daily cash flow, preparation of vouchers.

Ø  Keeping systemized information to facilitate reporting to the management.

Ø  Front office administration and customer welcome.

Ø  Check the accuracy and appropriateness of transactions.

Ø  Maintaining relationship with customers, banks, and financial community.

Ø  Attending telephone queries of the claimants to answer with most updated computerized information.

Ø  Processing refund customer account through Network International

Ø  Issuing orders and arranging materials and cash collection.

 

Ø  Responsible for cash and cheques deposits of daily transactions in company’s bank account.

Ø  Handling petty cash.

Ø  Stock ordering, replenishment and monitoring stocks.

Ø  Logistics/store support to provide comprehensive of the goods and accessories that were selling to the customers, up to after sale service.

 

PROFESSIONAL EXPERIENCE

 

Company name :  wazerstan super market

Job design          :  assistant accounts

Years of exp       :  DEC 2009 TO NOV 2013

Location              :  Abudhbai
-Preparing Invoices and follow up to client for Payment received..
-Preparing vendor’s payment and vendor’s reconciliation.
-Preparing MIS report.
-Responsible for updating account records and book keeping.
-Maintain General Ledgers.
– Responsible for documentation.

– Dealing with Customers for product update

 

PROFESSIONAL EXPERIENCE

 

Union Co op society, Dubai

Cashier cum Accounts                                                           Jan 2004 to Nov 2009

 

Supporting the business by assisting to produce accurate accounting information on which financial decisions are based. Also involved in compiling financial reports and analyses, whilst working to strict deadlines

 

Duties and Responsibilities

 

§    Preparing sales invoices & the upkeep of an accurate accounts filing system

§    Preparation and input of month end journal vouchers.

§    Inputting, matching, batching and coding of invoices

§    Debtor and Creditor reconciliations.

§    Assists with monthly status reports, and monthly closings.

§    Preparation of bi-weekly invoice and expense claim payment runs.

§    Preparing Invoices & Purchase order ( Manual and Computer)

§    Inputting of supplier invoices and employee expense claims to the ledgers.

§    Preparing Petty Cash Book

§    Dealing with Customers for product update

 

KEY SKILLS AND COMPETENCIES

 

§  Good all round Financial Accounting Knowledge.

§  Knowledge of Accounts Payable & Receivable processes and procedures.

§  Can efficiently work with Ms Excel and SAP.

§  Team work.

§  Good presentation skills.

§  Advanced knowledge of statistical skills.

 

Southern Mercantile Services, India                                   Feb 2003 – Dec 2003

 

Accountant

 

§    Maintaining all books of accounts including Cash Book, Receipt & Payment Books.

§    Preparing Invoices & Purchase orders.

§    Preparing Petty Cash Book.

§    Preparing monthly & weekly statement of Accounts.

 

 

 

 
ACADEMIC QUALIFICATIONS

 

§    Master of Commerce, India – 2003 ( Passed with First Class)

 

§    Bachelor of Commerce, India- 2001

 

COMPUTER SKILL

 

§    Operating Systems – Windows XP, Windows 2000

 

§   Packages – MS Office 2000 & XP, Tally 9, Management System, Info ERP system.

 

PERSONAL DATA

 

Nationality                              :           Indian

Marital Status                          :           Married

Date of Birth                           :           10TH Dec 1978

Languages known                   :           English, Hindi, Tamil, Arabic, Malayalam.

Extra Curricular Activities      :           Playing Cricket, Volleyball, Football and Reading

Magazines

REFERENCES                       :          C/O Mr. MUJIBU RAHMAN

UNION CO OP SOCIETY

Chief Cashier

 

050 5304502,

Post Box No 57520

Dubai.

 

 

 

 

 

 

 

 

 

 

 

 

 

Education

APRIL, 1999/NOV ,2001 B,COM at BHARATHIDASAN UNIVERSITY

MAJORS SUBJECT ACCOUNTS

JAN,2002/OCT, 2003 M,COM at BHARATHIDASAN

ACCOUNTS

Experience

2003/2009 CASHIER at UNION CO OP SOCIETY

 Preparing sales invoices & the upkeep of an accurate accounts filing system
 Preparation and input of month end journal vouchers.
 Inputting, matching, batching and coding of invoices
 Debtor and Creditor reconciliations.
 Assists with monthly status reports, and monthly closings.
 Preparation of bi-weekly invoice and expense claim payment runs.
 Preparing Invoices & Purchase order ( Manual and Computer)
 Inputting of supplier invoices and employee expense claims to the ledgers.
 Preparing Petty Cash Book
 Dealing with Customers for product update

2013/2016 COUNTER IN CHARGES at PAN EMIRATES

 Issuing orders and arranging materials and cash collection.
 Verification of the Debtors balances with accounts, debt clearance, and set-off post dated transactions.
 Reconciliation of Accounts Receivables
 Preparation of daily cash flow, preparation of vouchers.
 Keeping systemized information to facilitate reporting to the management.
 Front office administration and customer welcome.
 Check the accuracy and appropriateness of transactions.
 Maintaining relationship with customers, banks, and financial community.
 Attending telephone queries of the claimants to answer with most updated computerized information.
 Processing refund customer account through Network International
 Issuing orders and arranging materials and cash collection.