Kaneshka Habib

Kaneshka habib

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  • Timeline

  • About me

    General Accounting Director at BMA Bank-e-Millie Afghan

  • Education

    • Bakhter university

      2008 - 2012
      Bachelor's degree accounting
    • Bakhtar university, kabul- afghanistan

      2008 - 2010
      Cat (certified accounting technician) accounting

      Cost Accounting, Financial Management, Accounting Circle, Management, Audit, Advanced Accounting.

    • Isteqlal high school

      1993 - 2005
      Graduated
    • Acca

      2016 - 2019
      Chartered accounant accounting acca- f6
  • Experience

    • Etisalat afghanistan

      Jan 2005 - May 2007
      Senior accountant

      * Preparing of Purchase Order for purchasing of Credit card from Etisalat Main Inventory.* Purchasing of Deactivate Credit Card and Submitting for Activation Process.* Distributing of Credit Cards to all Distributors which Covering All Afghanistan.* Recording of transactions (Sales and Purchase Report) in (tally) Accounting Software.* Controlling the income and expenditure reports and preparing of Financial Report for Joint Venture Shareholders.* Daily controlling of Joint Venture Inventory and reconciling with (tally) System. Show less

    • Central bank of afghanistan

      Jun 2007 - Aug 2009
      Senior accountant

      * Responsible for general ledger of transaction which are made between branches.* Fixed asset processing and reporting.* Maintain bank accounts by requesting disbursements.* Monitor reserve accounts and transactions.* Review statement of each branches related to the assigned section.* Research and reconcile all discrepancies of inter branches transactions.* Auditing and verifying documents.* Completing data backups.* Financial and profitability analysis on a requested basis. Show less

    • Bank e millie

      Jan 2009 - Jan 2010
      Payment manager

      * Manages accounting functions including maintenance of general ledger, accounts payable, accounts.receivable, and all transaction which are made by service and procurement department of BMA and ensures accuracy and timeliness.* Recording of overall expenses of bank in CBS (Core Banking Solutions) System.* Reconciling of Manual transactions with CB System and reporting the discrepancies to the top management (CFO).* Assisting of Operation Management team on recording of past 3 years transactions from manual accounting system to the CBS.* Controlling of inventory department and approving the inventory monthly reports.* Controlling of Purchasing Unit and approving the purchasing weekly reports. Show less

    • Dehsabz city develompent authority

      Jan 2010 - Sept 2011
      Finance manager

      * Collating, preparing and interpreting reports, budgets, accounts, and financial statements.* DCDA Finance Unit representative in Ministry of Finance.* Preparation of Disbursement (M16 Forms), (B27 Forms) and receiving of approval from Ministry of Finance for the each project as per KNC Master Plan.* Attending in weekly meeting with CEO.* Announcing of KNC projects and assisting business development management members in collecting of cost and technical proposal from bidders.* Controlling of expenditures.* Managing the budget plan approved by MOF (Ministry of Finance).* Developing and managing financial systems.* Supervising of finance and procurement staff and reporting to the Chief Finance Officer. Show less

    • Advanced constructors international, llc

      Mar 2011 - Mar 2013
      Finance manager

      * Controlling the Subcontractors cost reports.* Reconciling of Concrete and CMU distribution to Subcontractors.* Attending in each weekly meetings of US Army Corps as ACI-SCC JV representative.* Planning, organizing and directing all the activities related to the cost in project.* Performing monthly closing of the cost to operate statement along with supporting analysis for monthly reporting to upper management.* Maintain financial forecast of all inventory purchasing activity and related timing of cash flows* Responsible for providing updates to management for expected variations to annual budget.* Analysis and reconciliation of book perpetual inventory levels. Perform reconciliation of the general ledger accounts assigned. Ensure that adjusting journal entries are prepared and posted as needed. Review inventory accounts monthly for inconsistencies and potential errors.* Assist in the preparation/entry of month-end journal entries and assigned balance sheet reconciliations for the general and cost accounting areas.* Provide information for management on financial statement and operating budget analysis. Prepare month-end reports as assigned for Chief finance officer* Assist in preparing the budget and practices for the each projects. Show less

    • Bank-e-millie afghan

      Apr 2013 - Dec 2016
      Fixed asset manager
    • Bma "bank-e-millie afghan"

      Jan 2017 - now
      General accounting manager
  • Licenses & Certifications

    • Cbs - core banking soloution

      Cbs
      Jun 2009