To achieve the best in the field of accountancy and finance through continuous value addition by utilizing my education, experience and skills while contributing towards the development of the organization as a whole.
KEY SKILLS:
I have developed a diversified set of skills in the areas of:
• Corporate Taxation
• Management Reporting
• Financial Modelling, Budgeting and Forecasting
• Project and product Costing and Profitability Analysis
• Financial Accounting & IFRS’s & IAS’s
• Financial analytical & interpretations
• Financial Controller, Working Capital, Financial & Cash flow Management
• Internal Auditing, Internal Controls
Planning &Assessment and Implementation & Supervision the process throughout the organisation.
Major Responsibilities at work:
• Responsible for the overall activities of accounts department.
• Ensure daily reporting of banks position, production and stock reports and calculation of daily profit/loss on
production.
• Ensure timely monthly, quarterly and yearly closing and reporting.
• Preparation of Quarterly, Half-Yearly and Annual Financial Statements in accordance with IFRS.
• Cash flow management (prioritizing the payments).
• Preparation of ad-hoc analysis and reports as required by management.
• Liaison with banks for routine operations.
• Liaison with external auditors for annual external audit.
• Monthly review of stock reports, stock reconciliations & inventory valuation.
• Handling of insurance matters of the company i.e. fire, transit and motor insurance.
• Supervision of tax matters and e-filing with FBR:
• Sales tax returns.
• Withholding tax returns u/s 149 and 165.
• Income tax return.
• Annual withholding tax returns.
• Tax audits