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Farrukh Abbas Wahla Acca, Cma, Mba Email & Phone Number

Accounting Supervisor at Tristar Group | ACCA, Financial Reporting, Month-End Expert at Tristar Group
Location: Dubai, United Arab Emirates 6 work roles 6 schools
1 work email found @alrostamanigroup.ae LinkedIn matched
✓ Verified August 2026 4 data sources Profile completeness 100%

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Role
Accounting Supervisor at Tristar Group | ACCA, Financial Reporting, Month-End Expert
Location
Dubai, United Arab Emirates
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Farrukh Abbas Wahla Acca, Cma, Mba is listed as Accounting Supervisor at Tristar Group | ACCA, Financial Reporting, Month-End Expert at Tristar Group, a with 442 employees, based in Dubai, United Arab Emirates. AeroLeads shows a work email signal at alrostamanigroup.ae and a matched LinkedIn profile for Farrukh Abbas Wahla Acca, Cma, Mba.

Farrukh Abbas Wahla Acca, Cma, Mba previously worked as Accounting Supervisor at Tristar Group and Senior Accountant at Al Rostamani Group. Farrukh Abbas Wahla Acca, Cma, Mba holds Association Of Chartered Certified Accountants(Acca), Accounts, Finance, Audit from London College Of Accountancy(Lca), Uk.

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*@alrostamanigroup.ae
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About Farrukh Abbas Wahla Acca, Cma, Mba

As the Accounting Supervisor at Tristar Group, my remit includes driving month-end closing activities with precision, leveraging my proficiency in FCCS to ensure impeccable financial reporting. The depth of my expertise is rooted in managing complex accounting processes, from handling Accounts Payable and Receivable to conducting meticulous balance sheet reconciliations and overseeing fixed asset cycles.With a strategic eye on financial management, I adeptly prepare cash flow forecasts and annual budgets that guide our fiscal planning. My role also encompasses the vigilant management of VAT accounting and filings across multiple entities, showcasing my commitment to upholding compliance and operational efficiency within Tristar's diverse financial landscape.

Listed skills include Accounting, Financial Reporting, Financial Accounting, Account Reconciliation, and 51 others.

Current workplace

Farrukh Abbas Wahla Acca, Cma, Mba's current company

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Tristar Group
Tristar Group
Accounting Supervisor at Tristar Group | ACCA, Financial Reporting, Month-End Expert
dubai, dubai, united arab emirates
Employees
442
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6 roles

Farrukh Abbas Wahla Acca, Cma, Mba work experience

A career timeline built from the work history available for this profile.

Accounting Supervisor

Current

Dubai, United Arab Emirates

Manage month-end closing activities as per checklist and submission of monthly reporting packs in a timely and accurate manner using Financial Consolidation and Close Cloud Service (FCCS).Review monthly recurring entries, month/end checklist, AP accruals, etc. to ensure completeness of month/end process.Ensure accurate and timely processing of all information in Oracle R12 including but not limited to Accounts Payable, Account Receivable.Manage and review balance sheet account… Show more Manage month-end closing activities as per checklist and submission of monthly reporting packs in a timely and accurate manner using Financial Consolidation and Close Cloud Service (FCCS).Review monthly recurring entries, month/end checklist, AP accruals, etc. to ensure completeness of month/end process.Ensure accurate and timely processing of all information in Oracle R12 including but not limited to Accounts Payable, Account Receivable.Manage and review balance sheet account reconciliations and clean-up if required.Manage the full cycle of fixed assets and IFRS 16 lease accounting.Oversee VAT accounting, return filings for various entities as required.Preparation of monthly cash flow forecast and annual budgets for the entities.Assist in the group level quarterly forecast and annual budget process.Report on SG&A expenditure analysis to identify trends and areas in need of cost control focus. Provide valuable variance analysis to highlight issues.Provide guidance on intercompany accounting, preparation, and booking of invoices for cross-charging.Other ad hoc duties as assigned by GFC/CFO to support regional and corporate requirements. Show less

Jan 2022 - Present

Senior Accountant

Dubai, United Arab Emirates

Preparation of draft monthly group MIS (Monthly profitability statement) as per group templates and submission for review to department head.Support in the Monthly Accounting Reporting Package including approvals of month end accruals and amortizations.Preparing the reconciliations of GL accounts along with Trial Balance, Balance Sheet and P/L on monthly basis.Ensure timely payments to subcontractors, vendors, staff, and other external parties are made according to company policies… Show more Preparation of draft monthly group MIS (Monthly profitability statement) as per group templates and submission for review to department head.Support in the Monthly Accounting Reporting Package including approvals of month end accruals and amortizations.Preparing the reconciliations of GL accounts along with Trial Balance, Balance Sheet and P/L on monthly basis.Ensure timely payments to subcontractors, vendors, staff, and other external parties are made according to company policies and procedures.Planning and Forecasting the cash flow to ensure proper Funding.Preparing monthly guarantee reports (Tender, Advance, Performance).Scrutiny of Client Payment Certificate, Verification of back charges & Advance Deduction, Escalation of discrepancies and finally booking of Client payment certificates in SAP.Reconciliation of SAP receivables schedule and client statement on monthly basis.Booking of Addition & Deletion of Fixed asset, processing monthly depreciation in SAP.Effective management of General Ledger ensures accuracy of trial balances and matching of all schedules with Trial Balance, ensuring no unreconciled items.Estimating and preparing working for suppliers & subcontractors provision monthly. Review and maintain the monthly balance sheet accounts & ensure balances are in line with adequate accounting policies.Ensure Capex items are accounted for correctly & in line with budget.Preparation for aging schedules for vendors and customers.Verification of back up documents like original invoice, LPO etc.GRN pending report of all projects and cost centers.Effective and timely recording of Treasury related transactions in SAP and resolving all outstanding issues and disputes with banks.Weekly bank reconciliation.Reconciliation of MIS VS SAP on project revenue and project costs monthly.Intercompany balance reporting.Support all internal and external audit activities.Ensure timely and accurate filing of VAT as per UAE, FTA regulations on monthly basis. Show less

Nov 2017 - Dec 2021

Financial Controller

Traks Pro

Dubai, United Arab Emirates

Managing financial operations of multiple divisions of the business & leading a section of 5 professional accountants.Finalize & present monthly financial & management reports to stakeholders in accordance with IFRS & IAS.Contribute to the production of the Annual Budget process by providing insight to future sales volumes and revenues - compile financial data.Normal Product Costing, Standard Cost Revision, Profitability Analysis.Heading Accounts Payable, Accounts Receivable… Show more Managing financial operations of multiple divisions of the business & leading a section of 5 professional accountants.Finalize & present monthly financial & management reports to stakeholders in accordance with IFRS & IAS.Contribute to the production of the Annual Budget process by providing insight to future sales volumes and revenues - compile financial data.Normal Product Costing, Standard Cost Revision, Profitability Analysis.Heading Accounts Payable, Accounts Receivable, Accounting of Accruals, Deferral Management, Vendor Management, Accounts Reconciliations.Analyzed sales of the company in the previous months and quarters and then prepared reports to show the trends and variations in sales.Prepare bank reconciliation statements of multiple bank accounts including credit card settlement and investigated the arising discrepancies.Maintained the working capital required.Supervise the physical inventory count quarterly and investigate any discrepancies.Preparation of consolidated financial statements as required by the management.Fixed Asset Management and preparation of depreciation schedule.Performing month end accrual and prepayment adjustments to finalize financial statements.Accurate Payroll Processing of all related companies for more than 100 employees as per UAE Labor law through WPS by utilizing efficient IT Skills.Reconciliation of intercompany account and analyze any discrepancies. Responsible for maintaining adequate cash flow to meet the requirements of receivables and payables.Approving supplier payments after critical evaluation of supporting documentation, and generating disbursements.Coordination with Banks and monitoring Bank Facilities.Liaise with Company’s internal and external auditors for the periodic audits.Reconciles financial discrepancies by collecting and analyzing account information.Coordination between business and IT personnel for development and implementation of Microsoft Dynamics NAV 2013 R2 and Sage Evolution. Show less

Nov 2015 - Apr 2017

Senior Accountant

Jeddah, Ksa

Ensure that all accounting adjustments, such as prepaid expenses, advances, provisions, etc. are recorded timely and accurately, so that financial statements accurately reflect the true financial health of the company.Ensure that reports / schedules for statutory and / or internal audits are prepared and provided to the auditors as and when required.Supervising the job assignments of Accounting Staff and their appraisal reportfor management.Analyze monthly reports for the… Show more Ensure that all accounting adjustments, such as prepaid expenses, advances, provisions, etc. are recorded timely and accurately, so that financial statements accurately reflect the true financial health of the company.Ensure that reports / schedules for statutory and / or internal audits are prepared and provided to the auditors as and when required.Supervising the job assignments of Accounting Staff and their appraisal reportfor management.Analyze monthly reports for the Financial Management Report pack and ad-hoc management reports as and when requested, and comment on variances / major movements / observations.Producing consolidated financials for subsidiaries with different currencies while having strong understanding for currency translation and revaluation entries.Preparing feasibility reports for new start up projects and applying test of controls in order to improve financial & non-financial performance of running business.Coordinate with the Development and Commercial teams to complete the budget and / or forecasts and / or cash flows on monthly, quarterly and annual basis.Working out the plan for subordinates to lead the group for a healthy management.Preparation of monthly withholding tax statements.Maintaining Import-Export documentations and handling IMPEX process flow.Preparation of tax provisions and deferred tax calculations.Maintenance of books of account (Complete Accounting System) and Preparation of financial statements of various companies in accordance with the applicable International Standards and laws.Analyzing reports e.g. cash flows, budgets, bank positions, management accounts, monthly payroll etc.Verification of vouchers e.g. cash payments and receipts, bank payments and receipts, purchases, sales etc.Reviewing bank reconciliations, short term running finance facilities, loans, and letters of credit. Show less

Apr 2013 - Mar 2015

Management Accountant

Riyadh, Ksa

Bank Reconciliations and Booking of JV, CPV, CR, BPV, BRV on SAP FI/CO.Accruals & Prepayments booking on monthly basis.Reconciling the intercompany accounts.Maintaining the bank accounts and credit limits.Dealing with all petty cash transactions and checking daily Cashbook.Capital asset evaluation and the maintaining of fixed assets registers.Audit of Inventory & Maintaining Inventory ledgers.Assist in preparing salaries, overtime, advances and allowances to… Show more Bank Reconciliations and Booking of JV, CPV, CR, BPV, BRV on SAP FI/CO.Accruals & Prepayments booking on monthly basis.Reconciling the intercompany accounts.Maintaining the bank accounts and credit limits.Dealing with all petty cash transactions and checking daily Cashbook.Capital asset evaluation and the maintaining of fixed assets registers.Audit of Inventory & Maintaining Inventory ledgers.Assist in preparing salaries, overtime, advances and allowances to Staff.Monitoring the movements in Trail Balance on Daily Basis.Preparing P&L trend and variance analysis.Assist in preparing Financial Statements quarterly basis.Assist the Manager - Internal Audit in preparing annual audit plan according to the risks identified, carry out value adding and risk based audits.Monitoring the price of raw materials, packaging prices.Booking of PRN, PO, GRN, PI and Payments to Supplier on ERP.Assist in preparing Red Alert Reports and Re-order level reports.Supplier statements reconciliations and resolving any differences in timely and regular manner.Received and Verify invoices and requisitions for goods and services.Verify that transactions comply with financial policies and procedures.Prepare batches of invoices for data entry.Process backup reports after data entry.Manage the weekly cheque run.Prepare manual cheques as and when required.List all vendor cheques in the log book.Ensure the confidentiality and security of all financial and employee files Etc. Show less

May 2011 - Mar 2013

Audit Associate

London, United Kingdom

Performing the audit planning which includes determining the materiality threshold and performance materiality, designing the nature, timing and extent of audit procedures, understanding the internal control system of the client and carrying out risk assessment procedures.Performing analytical review/financial statements analysis to identify possible financial statements risk areas and gain a better understanding of the client in the planning phases.Perform various types of financial… Show more Performing the audit planning which includes determining the materiality threshold and performance materiality, designing the nature, timing and extent of audit procedures, understanding the internal control system of the client and carrying out risk assessment procedures.Performing analytical review/financial statements analysis to identify possible financial statements risk areas and gain a better understanding of the client in the planning phases.Perform various types of financial analysis on the Financial Statements, such as ratio and variance analysis.Carrying out substantive test work and test of internal controls as a part of the audit fieldwork, in accordance with the global audit methodology and the International Standards of Auditing (ISA).Assist clients in preparation of financial statements in line with International Financial Reporting Standards (IFRS) and local regulatory requirements. Maintaining a professional relationship with clients and interacting with the client’s coordinator and the management to resolve audit issues.Identifying and recommending the appropriate adjustments based on the audit findings.Preparation of draft audit reports and of Management letter detailing weaknesses found during the audit work along with the recommendations.Prepare, complete, review and submit tax returns within the filing deadlines in compliance with tax laws.Review and revise contractual terms and conditions to include direct and indirect VAT requirements.Manage penalty fines and prepare appeal documents.Preparation of tax advice on various income tax and sales tax matters, preparation and filing of income tax returns and other related documents, coordination with tax authorities and preparation of various details for finalization of assessment and appellate proceedings. Served as a liaison between client representatives and KPMG management.Clients served included Food & Beverages, Pharmaceuticals, Manufacturing, Telecom, Textiles and Energy groups. Show less

Jul 2009 - Mar 2011
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6 education records

Farrukh Abbas Wahla Acca, Cma, Mba education

Mba(Finance), Business/Commerce, General, A

London School Of Business And Management

Mipa, Accounting And Finance, A

The Institute of Public Accountants is one of the three legally recognised professional bodies for accountants in Australia. The IPA.

Chartered Certified Financial Consultant(Ccfc), Finance

The Canadian Association Of Financial Consultants(Cafc),Canada

Chartered Certified Financial Consultant(CCFC)

Certified Accounting Technician(Cat), Accounting And Finance, A

FAQ

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What company does Farrukh Abbas Wahla Acca, Cma, Mba work for?

Farrukh Abbas Wahla Acca, Cma, Mba works for Tristar Group.

What is Farrukh Abbas Wahla Acca, Cma, Mba's role at Tristar Group?

Farrukh Abbas Wahla Acca, Cma, Mba is listed as Accounting Supervisor at Tristar Group | ACCA, Financial Reporting, Month-End Expert at Tristar Group.

What is Farrukh Abbas Wahla Acca, Cma, Mba's email address?

AeroLeads has found 1 work email signal at @alrostamanigroup.ae for Farrukh Abbas Wahla Acca, Cma, Mba at Tristar Group.

Where is Farrukh Abbas Wahla Acca, Cma, Mba based?

Farrukh Abbas Wahla Acca, Cma, Mba is based in Dubai, United Arab Emirates while working with Tristar Group.

What companies has Farrukh Abbas Wahla Acca, Cma, Mba worked for?

Farrukh Abbas Wahla Acca, Cma, Mba has worked for Tristar Group, Al Rostamani Group, Traks Pro, Advanced Construction Technology Services (Acts), and Schneider Electric.

Who are Farrukh Abbas Wahla Acca, Cma, Mba's colleagues at Tristar Group?

Farrukh Abbas Wahla Acca, Cma, Mba's colleagues at Tristar Group include Imran Mehmood, Seena Saleh, Shafeek Cs, Mark Christian Lana, and Suman Perumandla.

How can I contact Farrukh Abbas Wahla Acca, Cma, Mba?

You can use AeroLeads to view verified contact signals for Farrukh Abbas Wahla Acca, Cma, Mba at Tristar Group, including work email, phone, and LinkedIn data when available.

What schools did Farrukh Abbas Wahla Acca, Cma, Mba attend?

Farrukh Abbas Wahla Acca, Cma, Mba holds Association Of Chartered Certified Accountants(Acca), Accounts, Finance, Audit from London College Of Accountancy(Lca), Uk.

What skills is Farrukh Abbas Wahla Acca, Cma, Mba known for?

Farrukh Abbas Wahla Acca, Cma, Mba is listed with skills including Accounting, Financial Reporting, Financial Accounting, Account Reconciliation, Forecasting, Fixed Assets, Internal Controls, and Accounts Payable.

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