anowar's resume (1) (1)
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MOHAMMED ANOWAR HOSSAINMOHAMMED ANOWAR HOSSAIN
Apt . 801, 1 Massey Square, Toronto ON M4C 5L4 Tel: 647-345-2347, (H) 647-853-2347 (C) E-mail: [email protected] OBJECTIVE: Utilize my extensive accounting knowledge and experience in a progressive organization within private or public sector. PROFESSIONAL PROFILE Twelve years of experience of all aspect of accounting Masters Degree in Accounting, assessed by University of Toronto and Certificate in three
years period Chartered Accountancy course and enroll at CGA level-4 Expertise in internal and external auditing Proficient in TD Mainframe, Simply Accounting, QuickBooks Pro, Easy pay payroll, ADP
Payroll, accounting software. Sale software BG and certified in ACCPAC 5.2, Quick books Pro 2007 and Simply Accounting 2006
Experienced in M.S. Word, Excel, Power Point, Keyboarding, and Internet Proven ability to multi-task, meet multiple deadlines, manage time effectively and
problem solve Excellent communication skillsEMPLOYMENT HISTORYService Officer 1 Oct.2015-Feb.2016TD Canada Trust ( Adecco) Mississauga, OntarioResponsibilities includedRead source documents such as canceled checks, sales reports, or bills, and enter data in specific data fields or onto tapes or disks for subsequent entry, using keyboards or scanners. Compile, sort and verify the accuracy of data before it is entered. Locate and correct data entry errors, or report them to supervisors. Compare data with source documents, or re-enter data in verification format to detect errors. Maintain logs of activities and completed work.Junior Accountant June 2012-July 2012Emerson Electric Co. Ltd (The People Bank) Toronto, OntarioResponsibilities included ▪ Prepare Custom Receive sheet, Warehouse receive sheet, Invoice register and Warehouse sheet with PPV, summery of cycle count report and report to Manager (Accounts) and other high executive Bookkeeper/Accountant April 2012 North York Harvest Food Bank (The People Bank) Toronto, OntarioResponsibilities included
Checked and Enter invoice in QuickBooks and printed Cheque for vendors and submit return for EHT
Enter all Donation and grant in systems and Gain Idea on IIN,YES,GATEWAY and TRILLIUM Grant
Processed Payroll in ADP Software and Report to Executive Director fot all accounting works.
Junior Accountant Jan.2012-February 2012 Manulife Real Estate-Manulife Financial (Adecco) Toronto, Ontario Responsibilities included
Reconcile of 10 years General Ledger Account of high profile tenant (Govt.office) in M.S.Excel.
Reconcile Monthly space rent, electric, Operating, taxes and Storage Exp. with lease abstract and find out the variance with monthly collection as well as short or excess paid on various service ch. invoices.
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Prepare Reconciliation summery and find out unadjusted transaction Report to Manager (Finance and Administration) Manulife Real Estate on
reconciliation progress.Accountant Jan.09 – April.2011Toula Dining (Toronto) Limited, Toronto, OntarioResponsibilities included Maintain all financial record in QuickBooks Pro Manage accounts payable i.e. enter all vendors invoices, pay bill and cheque run Submit ,calculate return and remittance of GST,PST, Payroll tax,EHT,premium of WSIB Calculate and submitted return of HST
Mohammed Anowar Hossain Phone: (647) 345-2347 Page-2 Maintain all loan account for company Issue Record of Employment (ROE) and Yearly T-4 Enter all transaction in QuickBooks and prepare bank reconciliation Review general ledger expenditure and sales account and communicate with vendors
and bank Review, analysis of daily expenditure and prepare spreadsheets for expenditure and
prepare adjustment journal entries for petty cash and for other accruals Maintain all banking i.e. Cheque deposit, cash withdrawn, cheque certify and web
banking Run Bi-weekly payroll cheque in Easy pay software and upload at QuickBooks Pro Prepare monthly trial balance ,financial statement and ensure its accuracyAccounting Assistant 2008Internship, Financial Corp. Toronto District School Board Toronto, OntarioResponsibilities included: Maintain accurate financial records in Simply Accounting Manage accounts payable and accounts receivable within established procedures Prepare monthly trial balance and bank reconciliation Monitor and report on monthly variances against budget Implemented financial accounting procedures as required Run weekly payroll and ensure accuracy Prepare financial statement and other financial reports
Assistant General Manager-Accounts 2006-2007 Manager-Accounts 2004-2006Bashundhara Steel Complex Limited, Dhaka, BangladeshResponsibilities include Manage the finance department including system, controls, compliance, data capture
and reporting Prepare monthly financial reporting package for the senior management including
costing and supporting financial analysis and comment on variance on budget Maintain and account for all short term and long term loan Maintain policy, procedure and control framework for finance department and
maintained fixed assets record and manage company’s bank account Calculate commission on sales of dealer and distributor in M.S.Excel and distributed
cheque among them. Liaise with external and internal auditors on all audit matters Research, develop and implement accounting policies to ensure compliance with GAAP Prepare annual budgets, make recommendations to the budget committee, participate in
budget decisions and seek approval of the executive committee and the board of directors
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Audit Manager- Corporate 2002-2004Bashundhara Group, Dhaka, BangladeshResponsibilities included Manage the audit of segmented (15) and consolidated financial statement Design and implemented the audit program and audited inter-departmental processes
and documentation relevant to production, sales, purchasing, store, loan and overall corporate administration
Report to The Executive Director (Audit) on audit progress Provide leadership, guidance and motivation to twelve-member Audit team
Deputy Manager-Accounts 2001-2002Bashundhara Cement Trading Company Ltd. Dhaka, BangladeshResponsibilities included Supervise and maintained full set of books including: general ledger, subsidiary ledger
for accounts receivable and accounts payable and monitor cash flows of Sales and Marketing
Mohammed Anowar Hossain Phone: (647) 345-2347 Page-3
Prepare sales invoices and reconciled customers statements and ensured collection Process all vendors invoice, bill and issued cheque and reconciled statement with ledger
as required Provide communication to the internal and external auditors for all material transactions
and replied to auditor’s reports on a quarterly basis Account for all CD,OVERDRAFT LOAN Prepare monthly bank reconciliation statements Prepare Trial Balances, Profit & Loss Accounts and Balance Sheets on monthly and
interim basesFinance Manager 1998-2001Bengal Sack Corporation Limited, Chittagong, BangladeshResponsibilities included
Prepare monthly financial statements and maintained all related books of accounts i.e. A/R, A/P, general ledger, subsidiary ledger, payroll customers billing and supporting documentation
Perform bank reconciliation and inter-company reconciliation and maintained lease documents
Review the bank loan position and company’s fund positions and supervised value added tax matters
Support imports of raw materials (L,C Processing)and reconciled store ledger and general ledger balance as well as annual inventories
Prepare monthly trial balance, financial statement and fund flow statement and cash flow statement
Provide guidance / assisted department staff on general financial and specific budget matters
PROFESSIONAL TRAINING:Chartered Accountants Course completed (CACC) 1994 - 1998Conducted by: NASIR MOHAMMED & CO. (Chartered Accountants)(Under institute of chartered Accountants of Bangladesh)*Audited 30 concern including trading, non-trading, financial, manufacturing and government organization
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Skills for Change 2007-2008 Completed Accpac, QuickBooks and Simply Accounting Software Courses. Toronto, Ontario
EDUCATION:Enrolled at CGA-Level -4 PresentCentennial College-Progress Campus, Toronto, Ontario
Masters of Commerce, (Accounting ) 1994 University of Chittagong, Chittagong, Bangladesh
Bachelor of Commerce 1988University of Chittagong Chittagong, Bangladesh* Assessed by University of Toronto, Comparative Education Service- Masters of Commerce in Accounting and Bachelor of Commerce is equivalent to Bachelor’s degree from recognized Canadian University.
REFERENCES AVAILABLE UPON REQUEST