To achieve a challenging position with opportunities for increasing responsibilities and professional growth in a reputed organization where I can utilize my knowledge.
As finance officer at Sayyed Engineers Ltd., I ensure the smooth functioning of financial operations by handling accounts payable, payment reconciliation, and bank reconciliation. I’ve implemented improved reconciliation workflows, cutting discrepancies by 25% and enhancing accuracy in reporting. My attention to detail has helped identify and resolve issues in supplier payments and banking records swiftly, improving vendor relationships and internal financial integrity. Leveraging Excel for data analysis, I produce timely reports that support strategic decision-making. Collaborating with cross-functional teams, I contribute to financial audits, maintain compliance, and uphold financial accuracy within the organization.
At Apna Microfinance Bank, I managed daily account operations, including reconciliation, voucher checking, and bookkeeping. I streamlined the reconciliation process, reducing reporting errors by 30% and saving over 5 hours weekly. By ensuring timely posting and accuracy in financial entries, I supported daily banking operations and built a strong audit trail. My coordination with branches and internal departments enhanced operational transparency and helped close monthly books promptly. Through strong Excel and ledger skills, I ensured efficient account tracking and contributed to improving the financial workflow across departments.
As accounts officer, I managed complete reconciliation for debtors and creditors, maintained ledgers, and handled AP/AR cycles. I led the manual-to-digital transition of financial records, which reduced processing times and improved accuracy. I also managed invoice-wise reconciliation, bank transactions, and bookkeeping using accounting software. My ability to detect inconsistencies led to timely resolutions and improved financial clarity. By aligning billing and payment processes, I improved cash flow forecasting and provided reliable support for monthly financial statements and audits.