Faisal Momin                    Faisal Momin
Faisalabdaziz@hotmail.com
                               055-7869355
                                          Accounting professional with over 9 years of experience in
                                         FMCG, Hotel & Catering & Construction Industry dedicated to
                                           providing accurate financial statements and other critical
                                         financial information to management for making decision on
                                                        daily, monthly, and Annual basis.
                                               Work Experience
  ➢ Designation: Accounts Receivable / Inventory Controller
  ➢ Company: Yatha Trading DMCC | Dubai, UAE (2018 – Present)
  • Handling company's Inventory & Weekly Stock Reconciliation.
  • Responsible for Monthly Reconciliation of Bank accounts of different currencies. • General ledgers
    Reconciliation (AP/AR/Inter-company Ledgers etc.)
  • Follow-up with customer for Outstanding bills and visit as and when required.
  • Summarizes Receivables by maintaining invoice accounts; coordinating monthly transfer to accounts
    receivable account; verifying totals; preparing report.
  • Working with the sales department to review accounts, client payments, credit history, and develop new or
    better repayment terms.
  • Daily submission of Sales Report to Management.
  • Preparation of Trial balance, Profit & loss statement, Cash flow statement, Balance sheet and various other
    statement required by the management
  • Handling Petty Cash & disbursement of expenses to office staff; maintaining petty cash register.
  • Inventory management & conducting monthly Inventory audits.
  • Assist in performing Internal and External Audit.
  ➢ Designation: Accounts Payable
  ➢ Company: Restofair RAK LLC (RAK Ceramics) | RAK, UAE (2012-2018)
  • Verifying & posting accounting transactions on daily basis in Supplier, Customer & General Ledgers.
  • Reviewing and determining all payments due and to submit the payment requests and disbursement schedule
    to Financial Manager for review and signature prior to the actual preparation of the cheque.
  • Reconciliation and preparation of Bank Reconciliation Statement of different Bank accounts (AED, USD, EURO)
  • Prepare Statistical reports like Creditors and Debtors Ageing report.
• Monitoring and controlling Company petty cash & Daily Cash Reconciliation.
• Invoices Booking & solving discrepancies.
• Payroll preparation & processing of Payments for staff expenses, Salary and Final Settlement of the
  Employees.
                                              Technical Skills
• Knowledge of Tally, Divalto, Oracle and all Microsoft Office Applications.
• Excellent communication skills, and ability to present complex information in an easy-to-understand format.
• Data Analysis, Problem solving.
                                                Education
• University of Pune | Pune, India                      Master of Business Administration: Accounting & Finance.
• University of Pune | Pune, India                Bachelor’s in commerce: Banking & Finance &
  2006-2009                                           Accounting.
                                                Certifications
•   Advanced Certification in Accounting
•   Certification in Financial Modelling & Structuring Financial Statements.
•   Certification in Microsoft Excel (Expert in Formulas, Macros, VBA, Pivot, Charts)
•   Currently pursuing Certified Management Accountant (CMA)
                                                  Strengths
           MS Excel     Data Analytics    Accuracy Attention to Detail       Organisation Time Management
               Team Leadership Public Speaking         Adaptability Written Communication Initiative