ABDUL SATHAR NK
CHARTERED ACCOUNTANT
With leverage 10 years of experience in the field of Finance, Accounts,Tax and Audit, seeking to be associated with a well-known organization that can provide me a dynamic work sphere, make use of my knowledge and my attitude towards achievement of organizational objectives and to accumulate knowledge in professional environment.
Mobile: +971*********
E mail: **********@*****.***
Nationality: Indian
Skype:abdulsatharnk1
Date of Birth :10-11-1985
Address
Select Homes
Rolla street
Khalid Bin AlWalid Road
Bur Dubai
Industry Line
Manufacturing
Construction
Trading
Retail Chain
Education
Shipping Support Service
Food processing.
Linguistic Abilities
English
Hindi
Malayalam
Tamil
IT Application
MS Office proficiency.
100 Hours IT training program Conducted by ICAI.
Working knowledge in FAS, FOCUS, ARMS, MCA and Various other Customized ERP packages.
Good working experience in customer data base.
Driving License
Dubai.
Bahrain.
India.
PROFESSIONAL CREDENTIALS:
Degree
Institute/University
Year
CA
Institute of Chartered Accountants of India
2013
B.Com
University of Calicut
2006
Kcal HelathyFast Food (Since October 2017)
Assistant Financial Controller at Kcal Healthy Fast Food. Key responsibilities are:
Cash flow management.
Financial analysis.
Monthly book closure.
Preparing group MIS Pack.
Analysis Monthly Results.
Discussion with Management and HODs.
Budgeting & control.
Value Added Tax(VAT).
Liaison with auditors and banks.
AL NOOR INTERNATIONAL (2013-2017)
Chief Accountant at Al Noor International, Bahrain, since 16th September 2013. Key responsibilities are finance and accounts, finalizing purchase orders, liaison with auditors, budgeting, cash flows and other Management Information Reporting.
Initiated Advanced accounting policies and record keeping.
Brought to effect adequate accounting software and proper overdue collection there by enhanced liquidity.
SOME OF THE ROLES IN DETAIL.
Prepare monthly and quarterly financial projections for the Company and discuss with Financial Controller and CFO, ensure budget and business plans are thorough, realistic and financially feasible.
Maintaining tight control over cash transactions and following up of accounts receivable and payable including customer invoicing, follow-up customers for collection, customer reconciliation, revenue booking, invoice booking, payments, processing .
Review annual financial plan, capital expenditure proposals and budgets produced by departments to ensure they meet cost and profitability targets, whilst being realistic and achievable.
Oversee the day to day accounting processes and effective management of the payables, receivables, and the chart of accounts ensuring that proper books of accounts are maintained for effective financial controls in accordance with Local Statutory requirements.
Monitor and control proactively the financial performance versus the budget so that the business is aware of the anticipating cost / revenue developments, all areas of unsatisfactory performance are properly identified early enough and reported and rectified promptly, ensure potential performance improvements opportunities are capitalized upon.
Maintain effective business relationship with clients, suppliers and authorities.
Manage effectively the Finance and Accounts department objective through setting individual objectives, managing performance, developing staffs and giving formal and informal feedbacks in order to maximize overall performance and team motivation.
Designing / Developing various financial models, Analytical reports, Project Feasibility reports, Financial Reports as request by management from time to time.
Cash Flow management: Preparation of Cash Flow Forecast of the company and maintaining their Actual Cash Flow.
PERSONAL TRAITS
Strong analytical skill.
Self-starter with drive and motivation towards result oriented goals.
Ability to work in demanding situation and effectively meet schedules.
Ability to adopt environment in short span of time and a good team player.
Good inter personal and presentation skills.
Honest and trustworthy.
PRE QUALIFICATION EXPERIENCE:
Articleship training with M/s G M Kapadia & Co., one of the leading Chartered Accountants firms in India having head office at Mumbai with branches at Jaipur, Delhi, Chennai, Bangalore and Hyderabad, has exposed me in the following areas of various industries over a period of three years.
Central Statutory Audit of the India’s largest commercial bank.
Statutory audit of various corporate & non corporate entities.
Internal Audit of various companies.
Limited Review for various listed Companies.
Special assignments including stock audit.
Verification of compliances relating to Advance Tax & MAT related matters.
Preparation of Interim Financial Statements & Consolidated Financial Statements.
Ensuring all the statutory compliances as required by the Income Tax Act, various Value Added Tax(VAT) Acts, PF Act, ESI Act and Indirect Tax Laws such as Excise Duty, Custom Duty, and Service Tax.
Also, served as Team Leader for a period of 1 years during my articleship in GM Kapadia & Co. As a TL, my responsibilities and duties include
Planning & preparing the audit program.
Delegation, review & consolidation of team’s work.
Finalizing the audit after discussion with audit manager/Partners & clients.
DETAILS OF THE MAJOR INDUSTRIES AND CLIENTS SERVED
Industry
Organization
Manufacturing
Sentini Ceramic Ltd
RMC Readymix (India) Pvt Ltd
Supreme Petrochem Ltd
Constructions
Lancor Holdings Ltd,
Ramaniyam Constructions Pvt Ltd.
Tamilnadu Police housing Corporations
Trading
Steel Mart Pvt Ltd
Annam Steels Pvt Ltd
Cable & Internet Service
Hathway Cable & Datacom Ltd
Hathway Internet Ltd
Shipping Support Service
J.M. Baxi & Co, K Steamship Agency
Engineering & HR Services
Vantage HR Services Pvt Ltd
Unity Structural Engineering Services Pvt Ltd
Retail Chain
Globus Stores Pvt Ltd
Banking
State Bank of India (SBI)
Government
Tamilnadu Police housing Corporations
Hotel & Resorts
Club Cabana Pvt Ltd
Reference: Available on demand.