Imran Azmi

Imran Azmi

Administrative Assistant

Followers of Imran Azmi14 followers
location of Imran AzmiAbu Dhabi Emirate, United Arab Emirates

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  • Timeline

  • About me

    Accounting Manager

  • Education

    • Majidiya Islamia Inter College

      1988 - 1990
      Associate’s Degree Biomedical/Medical Engineering

      10+2

    • Jamuna Christian Inter Collge

      1986 - 1988
      High School Mathematics and Computer Science

      10

    • University of Allahabad

      1995 - 1998
      Bachelor’s Degree Banking and Financial Support Services

      Activities and Societies: Ancient & Medual History B.Com

  • Experience

    • Jafri & Co (Chartered Accountant)

      Jul 1998 - Jun 2002
      Administrative Assistant

      External Audit : Government Organization ie Oil & Gas Companies & Banks

    • Alain Co-Operative Society

      Sept 2004 - Apr 2008
      Supervisor

      • Making new Forms/Reports to meet the new end user needs.• Handling Inventory System.• Yearly Stock Taking.• Generating daily, monthly and yearly physical inventory and comparison reports for top-level management.• Handling Forms & Reports.• Modification in pre-developed Forms & Reports as per varying end user requirements.• Handling Sales & Purchase Procedures e.g. Goods Received, Goods Return, Goods Issued to Branches & customers, Sales Return.

    • MMDC

      Sept 2008 - Dec 2015
      Accounting Manager

       All kinds of Voucher posting, Journal Vouchers, Payment Vouchers, Receipt Vouchers, Purchase & Sales Vouchers Bank Reconciliation Petty Cash Disbursement Payroll Preparation Checking and follow payments from Receivables Checking Payables Preparing Cheque for the Parties etc. Checking of Ledgers, Rectification of errors & Passing JVs Calculations of Commissions of Sales staff Reconciliation of Intercompany ledgers  Store inventory checking & Documents & vouchers filling Financial Report for Bank Finance Show less

    • AQUA BLUE WATER CO LLC

      Jan 2016 - now
      Accounting Manager

       All kinds of Voucher posting, Journal Vouchers, Payment Vouchers, Receipt Vouchers, Purchase & Sales Vouchers Bank Reconciliation Petty Cash Disbursement Payroll Preparation Checking and follow payments from Receivables Checking Payables Preparing Cheque for the Parties etc. Checking of Ledgers, Rectification of errors & Passing JVs Calculations of Commissions of Sales staff Reconciliation of Intercompany ledgers  Store inventory checking & Documents & vouchers filling Financial Report for Bank Finance Show less

  • Licenses & Certifications

    • OCP

      Oracle
      May 2008