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Work experience

Dec 2013Present

Financial Accountant

Al Areesh Cargo Clearing and GLT ( Jalal Ahmed Group )
Manage and oversee the daily operations of the accounting department Monitor and analyze accounting data and produce financial Statements and reports. Confirms financial status by monitoring revenue and expenses; coordinating the collection from all branches of Al Areesh Cargo Clearing & GLT Consolidation and evaluation of financial data; preparing special reports for Banks, creditors and for investors. Maintains accounting controls by establishing a chart of accounts, defining accounting policies and procedures. Meets accounting financial objectives by forecasting requirements, preparing an annual budget, scheduling expenditures, analyzing variances and initiating corrective actions. Analyze and interpret financial information that corporate executives need in order to make sound business decisions. Guides other departments by researching and interpreting accounting policy, applying observations and recommendations to operational issues. Coordinate and complete external annual audits Accomplishes accounting and organization mission by completing related results as needed.
Jun 2012Nov 2013

Senior Accounts and Audit officer

Al Razi Health Care ( A Project of Abu Dhabi Group)
Develops, implements and maintains general accounting systems and controls; supervises and participates in the review and analysis of accounting records Assists in the preparation of detailed financial plans for Al- Razi Health Care by analyzing and evaluating statistical and financial data and preparing budgets, projected patient levels, proposed staffing requirements and projected operating costs Defines the accounting requirements for Al- Razi Health Care for incorporation into the patient accounting system, fiscal and statistical information system and other medical center and Laboratories accounting systems Analyzes data and proposes methods for tracking and reporting financial information to various external agencies Prepares financial reports including cost reimbursement plans for MediCare, Adamjee and other insurance providers; prepares reports of Al- Razi Health Care Enterprise Fund activities to meet County requirements Plans, assigns, and reviews the work of subordinate accountants and clerical personnel; trains and evaluates personnel Perform bank account transfers as directed by CFO and Controller Prepares and publishes monthly financial statements including Statement Of Financial Position, Statement of Revenue and Expenses, and Statement of Cash Flow Acts as Hospital liaison for audits
Jan 2011May 2012

Accounts & Audit officer

Javaid Chaudary & Co.
During my experience at Javaid Ch & Co, I was responsible for: Planned,performed and supervised audit and consulting assignments for a variety of public and private sector organizations; Preparing financial statements for external reporting purposes in the light of the relevant reporting framework and ensuring compliance with all IAS, IFRS and ISAs and code of ethics. Accounting services including preparation of financial records and books of account using Peachtree and other customized accounting software; Advising clients with respect to their statutory obligations; Assisting in the development and implementation of accounting and internal control systems; Finalization of audit and drafting audit reports and audit opinions; Represent clients in hearings in front of different authorities for various issues; Guidance / consultancy to clients in corporate matters including registration of companies; Registration and filing of sales tax and income tax returns; Gained noteworthy exposure and expertise in report writing and business communication skills that included drafting of a variety of reports like management letters containing control weaknesses, audit reports and communications with clients; Book- keeping and maintenance of accounting functions.
Jan 2010Dec 2010

Trainee Accountant)

SAMA Management Consultants (Pvt.) Ltd
During my experience at SAMA Management Consultants (Pvt.) Ltd, I was involved in: Preparation of journal entries and maintain accuracy and completeness of the general ledger Preparation of financial analyses and notes for inclusion in management and resource accounts and to assist in responses to queries from management Assisting with the month-end management accounts close Assisting with monthly management accounts reports Preparation of balance sheet reconciliation’s Assisting in the development of the Financial and Corporate Plan Assisting with year-end audit process Assisting with internal audit process Ad hoc accounting and administrative work as required Engage in regular supervision sessions with the line Manager. Undertake other work that is assigned by the line manager To participate in relevant training and development courses as agreed with manager.



CFA Level 01

CFA Institute (USA)

ACCA (Associate Chartered Certified Accountant)


Certified Accounting Technician (CAT)



Financial Analysis
Financial Statement Analysis
Financial Reporting