SAJJAD HUSSAIN
(Accounts & Audit Professional)
Contact Details:
E-Mail: **************@*****.***
Cell #+966-0590064183
Riyadh, Saudi Arabia
CAREER OBJECTIVE
My aspiration in life is to continue to get professional experience, learning and growth by working in an organization with professional working environment towards my career path. PROFILE SUMMARY
A goal-oriented qualified professional holding Membership of ACCA with 12+ Years of experience in Accounting, Finance Budgeting, Financial Reporting & Analysis, Tax, Internal and External Audit Compliance and Corporate affairs.
EDUCATION
Certificate /Degree Year
B. Com, Bachelor of Commerce Bahauddin Zakariya University, Pakistan 2006 M.Com, Master of Commerce Higher Education Commission of Pakistan 2015 PROFESSIONAL QUALIFICATION
Certificate /Degree Institute / College Year
ACCA, Member 1423991 ACCA 2014
SOCPA SOCPA 2019
PROFESSIONAL EXPERIENCE
Finance Manager (Dec 2020 - Present)
Diwan Al Majd for Serving Meals (Fawaz AlHokair Group) Job Description:
• Preparation of monthly financial statements i.e., Profit & loss and Balance sheet in accordance with the International Financial Reporting Standards and SOCPA.
• Designing, implementing and managing effective budgeting, planning and forecasting system and framework by closely coordinating with all key departments and stakeholders
• Oversee treasury activities across the company to optimize the company’s liquidity position.
• Recommend changes for continuous improvement in financial systems and performance of the company by establishing KPIs across various departments
• Calculation of input, output vat and preparation of vat report to submit vat authority.
• Provides Calculation and Zakat payable to Tax Consultants for release letters from DZIT in relation to government deals.
• Posting of all the GL vouchers and payment vouchers from all over the Kingdom.
• Preparation of Forex Transactions and Forward Rate Deals and their reconciliations.
• Ensuring that all the expenses for the period are considered and recorded.
• Maintenance of Fixed assets vouchers, runs monthly depreciation and their accuracy of allocation.
• Liaise with external/internal auditors and ensuring timely completion of audit
• Implementing financial controls and establishing Group Matrix
• Establishment of Finance Department right from ‘ZERO’
• Implemented the business planning, budgeting and forecasting process
• Reconciliation for Banks, Payables, Receivables, SRVs and products, Accruals, and prepayments.
• Follow up the Accounts Receivable & Payable, reconcile & arrange their settlements in
• Quarterly stock taking & quantitative reconciliations of stock Finalization of stock valuation.
• Correspond with External Auditors for the Division in relation to annual Audit (end to end audit).
• Assisting Group Head of Accounting in other companies on monthly closing, Zakat and External Audit for the Group.
• Training of new accounting staff who joins the Group. Accounting Manager (Jun 2019 – Dec 2020)
Rolaco Trading & Contracting Holding
Job Description:
• Preparation of monthly financial statements i.e. Profit & loss and Balance sheet in accordance with the International Financial Reporting Standards and SOCPA.
• Calculation of input, output vat and preparation of vat report to submit vat authority.
• Provides Calculation and Zakat payable to Tax Consultants for release letters from DZIT in relation to government deals.
• Approves the delivery of all the Prime Products (Cranes, Forklifts, Trucks and Buses etc.) after verifying the contracts.
• Checking and posting of prime product deliver orders and invoices after due care.
• Posting of all the GL vouchers and payment vouchers from all over the Kingdom.
• Preparation of Forex Transactions and Forward Rate Deals and there reconciliations.
• Ensuring that all the expenses for the period are considered and recorded.
• Monitoring of all bank Loan transactions are for the month are recorded and reconcile.
• Maintenance of Fixed assets vouchers, runs monthly depreciation and their accuracy of allocation.
• Coordinating with internal audit function and external auditors to conduct audit procedures smoothly and timely.
• Reconciliation for Banks, Payables, Receivables, SRVs and products, Accruals, and prepayments.
• Follow up the Accounts Receivable & Payable, reconcile & arrange their settlements in
• Quarterly stock taking & quantitative reconciliations of stock Finalization of stock valuation.
• Correspond with External Auditors for the Division in relation to annual Audit (end to end audit). Other responsibility:
• Assisting Group CFO in the absence of Group Head of Accounting.
• Assisting Group Head of Accounting in other companies on monthly closing, Zakat and External Audit for the Group.
• Assisting Business Controller in day to day operations in relation to Accounting and Finance.
• Assisted IT in the implementation of new ERP system for Division. Senior Accountant (May 2016 – June 19)
Mattex Geosynthetics, (Al Rajhi Holding Group) Jubail, KSA. Job Description:
• Follow up the Accounts Receivable & Payable, reconcile & arrange their settlements in
• Prepares asset, liability, and capital account entries by compiling and analyzing account information.
• Documents financial transactions by entering account information.
• Assisting the manager to obtain financial data from several sources such as expenses incurred in the month, day
• Preparation of Daily, Weekly & monthly Bank Positions.
• Forecasting cash payments and keeping liaison with bankers regarding different financing arrangements and other banking transactions.
• Summarizes current financial status by collecting information; preparing balance sheet, P&L.
• Maintaining and transferring money between bank accounts as required.
• Coordinating with internal audit function and external auditors to conduct audit procedures smoothly and timely.
• Reconciles financial discrepancies by collecting and analyzing account information.
• Analyzing the general ledger and ensuring all adjustments are clearly presented. Accounts Officer (March 2015 - March 2016)
• Gourmet Food, Pakistan
Accounts Officer (Feb 2013 - Feb 2014)
Ahmed Hassan Textile Mills, Pakistan
Job Description:
• Follow up the Accounts Receivable & Payable, reconcile & arrange their settlements in consultation with relevant department, individuals and organizations.
• Processing of all invoices of Accounts Payable.
• Documents financial transactions by entering account information.
• Substantiates financial transactions by auditing documents.
• Maintains customer confidence and protects operations by keeping financial information confidential.
• Preparation of monthly/quarterly/annually Financial Statements. (Actual and Projected)
• Contributes to team effort by accomplishing related results as needed.
• Keep up with financial policies, regulation and legislation
• Conduct month-end and year-end close process
• Coordinate with finance team to complete assigned accounting tasks within deadlines.
• Assist in budget preparation and expense management activities for assigned accounts. Audit Senior (March 2014 – Feb 2015)
Tariq Ayub Anwar & Co (Chartered Accountant). Lahore a Member firm of Clarkson Hyde International Group (CH International)
Audit Senior (Feb 2010 – Feb 2013)
Ashiq Aamer Sattar & Co (Chartered Accountant). Pakistan Job Description:
• Ensuring that the financial statements prepared by the client are in accordance with the International Financial Reporting Standards (IFRS) and all applicable local laws and regulations.
• Finalization/preparation of financial statements and resolution of key accounting, reporting & auditing issues;
• Planning, review and supervision of the statutory financial audits of manufacturing concerns, social sector, banks, NGO,
• Extensive application of the International Financial Reporting Standards (IFRS) and International Standards on Auditing (ISAs) on financial statements and statutory audits
• Extensive application of the International Standards of Auditing (ISAs) on assurance/audit
• Liaison at various levels of client management to maintain and manage cooperative relationship
• Draft Audit programs and perform tests of control accordingly.
• Independent Inventory Valuation & Reconciliation (Quantitative).
• Independent Preparation of Material Reconciliation and Variance Analysis.
• Identify the existing control over the process and suggested possible control in case of gap.
• Review policies and procedural manual and identify the gaps between current practice and policies and procedural manual.
• Drafting internal audit reports.
• Conducting physical stock counts on periodic basis Clients I have done:
PEPSI, Gujranwala, Pakistan Lahore Gymkhana and Golf Club Ghousia Ghee Banaspati C.A Textile Mills Limited
Malik & Co. Multan, Pakistan Ivars School
SOS School, Village & Youth Qadri Brothers
Rai Cotton Factory and Cold Storages Muridke Refine Oil Mills & Khayban Ghee Banaspati IT SKILLS
Microsoft Dynamics
ERP Oracle
MS Office (Word, excel, power point & outlook)
Operating Systems (Windows different versions)
Internet Browsing
LANGUAGE SKILLS
Urdu Native English Native Fluent
Arabic Intermediate Punjabi Native
PERSONAL DATA
Date of Birth: March 3, 1987
Nationality: Pakistani
Iqama #: 241-***-**** (Transferable)
Valid Driving License: Saudi Arabia