Ana Suleman: Professional Experience
Ana Suleman: Professional Experience
Ana Suleman: Professional Experience
Mobile: 0337-8036763
E-mail: anasulemanicmap@gmail.com
Finance professional with a verifiable record in the field of Finance internal Controls and External Audits, Skilled in
analyzing problem developing and Simplifying procedures, energetic self-starter with excellent analytical,
organizational and creative skills, committed to the highest level of professional and personal excellence.
Professional Education:
ICMA Pakistan – Managerial level (In Process)
Professional Experience
Accountant – Al mansoori International travels and tours pvt ltd
(May 2019 to Aug 2019)
Job Responsibility:
Producing financial reports related to budgets, account payables, account receivables, expenses etc. Developing
long-term business plans based on these reports.
Reviewing, monitoring and managing budgets.
Developing strategies that work to minimize financial risk.
Reviewing financial reports, monitoring accounts, and preparing activity reports and financial forecasts.
collating, preparing and interpreting reports, budgets, accounts, commentaries and financial statements.
undertaking strategic analysis and assisting with strategic planning.
producing long-term business plans.
undertaking research into pricing, competitors and factors affecting performance.
controlling income, cash flow and expenditure.
managing budgets.
developing and managing financial systems/models.
carrying out business modeling and risk assessments.
supervising staff.
liaising with managerial staff and other.
Export documentation - Allied International Trade Agencies (Sep 2018 to Dec 2018)
Job Responsibility:
Prepare and audit export documentation for vessel shipments and settlements.
Process commercial invoice documents by validating data integrity and accuracy.
Communicate with appropriate internal/external customers, including trading desks, loading facilities, freight
forwarders and customers.
Ensure timely processing of export shipments.
Monitor accounts payable and accounts receivable to ensure vessel transaction payments are made and
collected timely.
Create, assemble and present applicable export documentation required per country specific destination in
accordance with export laws and regulations.
Submit timely document instructions to freight forwarders, independent surveyors and other third party
industry providers.
Verify sanctioned party screenings prior to release of export documents.
Maintain export files in an organized and catalogued system.
Support cross-functional departments involved in international business transactions.
Ensure compliance with export laws and regulations.
Continue education and ongoing review of industry requirements.
Apply and settle contract applications.
Create loading instructions for loading elevators.
Senior coordinator - Mustaqim Dying and Printing Industries (Sep 2016 to Aug 2018)
Job Responsibility:
Finance Executive-Super Tech Auto Parts Pvt. Ltd. (Dec 2014 to Jul 2015)
Job Responsibility:
Account Payable
Processing of vender advances and follow-up for the settlement as per agreed timelines.
To ensure that agreed authorization processes are being followed so that all invoices are correctly approved
prior to payment occurring.
Prepare monthly general ledger reconciliations and making accruals of all Accounts payable related GL accounts.
Vender Reconciliation of SAP and Oracle General Ledgers.
Internal Reconciliation of payments in SAP for updating of vender Liability Aging.
Making Payment proposal and submit to Treasury timely and efficiently.
To ensure that AP is adhering to internal Controls requirements and escalate any issues to Management and
internal Controls.
Participated in preparing management reporting, ensure that all Principles and Practices and key controls set
out related to the position are being followed.
Ensure accurate and timely projects report, including actual tracking -budget comparisons and reconciliations.
Accounts Receivable
Managing the control Environment of Super tech to ensure compliance with company policies &
procedures.
Performing system Reconciliation between Oracle & SAP, Customer Aging with Ledger for Identification,
verification of differences and establishing accounts receivables.
Preparation of Debit Advices, review weekly aging report and address accounts of 30 days past due.
Recording of Financial Entities in ERP Based System SAP & Oracle in support of receivables process.
Manages the collection activities by collaborating with the various team member such as Marketing
Department to eliminate all obstacles creating disputes with our customers.
Maintain a list of Key contracts for each account.
Skills
Good knowledge of Accounting Standard IAS/IFRS.
Ability to analyze business processes and give Analytical Review.
Strong Business Acumen & Fast Learner.
Excellent Communication & people management skills.
Computer Competency (MS-Word, MS-Excel; MS-PowerPoint) ERP Oracle and SAP.