ABDUL QADEER ARSHAD

Senior Accountant at Arms &McGregor International Realty®
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Contact Information
Location
United Arab Emirates, AE
Languages
  • English Full professional proficiency
  • Urdu Native or bilingual proficiency
  • Punjabi Native or bilingual proficiency

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Credentials

  • ACCA
    ACCA

Experience

    • Senior Accountant
      • Jan 2018 - Present

      Arms & McGregor is one of the leading real estate Company in Dubai, UAE. Arms & McGregor have Two more sister concerns, Morgan’s International Realty and Clemson Porter Properties. Roles and responsibilities:  Realization of Income and expenses of more than 100 Real Estate Brokers for all the group companies.  Finalization of accounts and preparing the Income statement with reconciliation of bank statement And balance sheet for all the three companies.  Preparing payroll for more that 100 employees & calculating commission for agents on both Sale & leasing prospectus for all companies.  Efficiently uploading the payroll data into WPS (Wages Protection system).  Monthly Budget preparation and month end comparison of Actual and Budgeted figures.  Cash Flow Projection for all group companies.  Marketing Report Analysis with different suppliers i,e Property Finder, Bayut, Dubizzle  Preparing financial statement(SFP, P&L and CFS) on monthly basis for all the three companies.  Quarterly preparation and submission of VAT Returns for all the Three group companies.  Directly reporting to Managing Directors Property Management Roles and responsibilities:  Managed more than 100 properties on behalf of landlords.  Making month end financial reports for property management fee recovered.  Handling all the Landlords and Tenants Rental cheques and Cash.  Dealing with the suppliers for Property Management Issues.  Dealing with the Statement of Accounts reports for Landlord & Tenants Separately.  Sending SOA’s to Landlord & Tenant on monthly basis Show less

    • Senior Accountant
      • Dec 2015 - Dec 2017

      • Everyday accounting activities including releasing payments to suppliers, reviewing daily cash reports • Managing overseas supplier payments and making adjustments for Exchange Rates • Weekly and Month End Profitability analysis and reports to management • Recording of routine expenses and day-to-day accounting activities • Monthly receivables and payables reconciliation and aging analysis • Making arrangement of bank facilities as per business requirement. • Preparation of bank reconciliation for different bank accounts on monthly basis. • Monthly and Quarterly reports preparation and presenting to the top level management. Show less

    • Pakistan
    • Accounting
    • 1 - 100 Employee
    • Accountant
      • Mar 2014 - Nov 2015

       Planning of audits by understanding organization objectives, structure, policies, processes, internal controls, and external regulations; identifying risk areas; preparing audit scope and objectives; preparing audit programs.  Assessing compliance with financial regulations and controls by executing audit program steps; testing general ledger, account balances, balance sheets, income statements and related financial statements; examining and analyzing records, reports, operating practices, and documentation.  Communicating audit progress and findings by providing information in status meetings; highlighting unresolved issues; reviewing working papers; preparing final audit reports. Show less

    • Inventory Stocktake Manager
      • Sep 2011 - Jan 2014

       Managing an Inventory team comprising of Shift Managers and team leaders.  Setting operational standards for all staff to follow.  Managing excess and ageing stock.  Reviewing service levels on a continuous basis.  Using electronic inventory tracking to scan stock and reconcile inventory.  Creating and maintaining spreadsheets to report and analyze data.  Presenting written reports and analyses to senior managers.  Managing an Inventory team comprising of Shift Managers and team leaders.  Setting operational standards for all staff to follow.  Managing excess and ageing stock.  Reviewing service levels on a continuous basis.  Using electronic inventory tracking to scan stock and reconcile inventory.  Creating and maintaining spreadsheets to report and analyze data.  Presenting written reports and analyses to senior managers.

Education

  • London School of Business and Finance LSBF
    Associate Chartered Certified Accountant (ACCA), Accounting and Finance
    2011 - 2013
  • University Of Gujraat, Pakistan
    Bachelor’s Degree, Business/Commerce, General
    2007 - 2009

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