We are looking for a Finance Manager with excellent Administrative, Analytical, and Mathematical financial skills to join our team.

  • Timely and accurate filing of various Tax Returns at HMRC, IRS, FBR, and various other EU portals.
  • Producing and maintaining record-keeping spreadsheets.
  • Ensure proper VAT adjustments on flagged invoices and resolve discrepancies.
  • Maintaining Tax, Compliance & Statutory returns calendar.
  • Develop and implement controls that mitigate the financial or operational risks.
  • Reconciliation of bank statements accounts payable and receivable.
  • Practical experience with accounting software (such as QuickBooks), spreadsheets (such as MS Excel)
  • Create and manage effective action plans in response to audit discoveries and compliance violations.
  • Email handling. Demonstrate effective communication skills with vendors to ensure timely clearance of payments. Take suitable control of billing disputes with customers/vendors and work along till resolution.
  • Month-end reports including Bank Reconciliation, Payroll summary, and credit card statements.
  • Quarterly report on revenue performance including all necessary numbers and information relevant for the management.
  • Responsible for reconciling vendor invoices with the items/inventory purchased and confirm for vendor payment.
  • Take new initiatives and strive to continually improve processes and relationships.
  • Ensure all activities are in accordance with companywide information security policies and procedures.
  • Month and end-year process
  • Communicate identified control deficiencies to management effectively
  • Able to work well under pressure and meet all deadlines
  • Revenue and expenditure variance analysis reconciliations,
  • Providing financial information to management by compiling and presenting reports, budgets, business plans, and financial statements (including monthly and annual reports)
  • Auditing financial information
  • Generate the monthly revenue calculations
  • Meeting deadlines and other compliance requirements relating to tax matters;
  • Discussions with tax consultants and legal counsels on the new and disputed matters to reduce the tax exposure;
  • Reconciling financial discrepancies by analyzing accounts
  • Provide recommendations
  • Adhere to the tasks and instructions assigned by the CEO
  • Meet all productivity requirements in the expected timeframe

Requirements:

  • Experience providing strategic advice and counsel to Senior Management.
  • A Master’s degree in business administration, accounting, finance, or related field, ACCA preferred.
  • Proven work experience of at least 8 years
  • Experience with general ledger functions and the month-end/year-end close-out process.
  • Advanced MS Excel skills.
  • Aptitude for numbers and quantitative skills.
  • The accountant must have the highest level of professionalism and integrity as well as be self-motivated
  • Excellent numeracy and attention to detail are essential, and they must work methodically using their strong problem-solving skills
  • Good interpersonal and communication skills are also required, as is the ability to work to tight deadlines.

نوکری کی تفصیلات

کل عہدے:
1 اشاعت
نوکری کی شفٹ:
دوپہر
نوکری کی قسم:
نوکری کا مقام:
جنس:
کوئی ترجیح نہیں
کم از کم تعلیم:
ماسٹرز
کیریئر کی سطح:
سربراہ شعبہ
تجربہ:
5 سال - 8 سال
اس سے پہلے درخواست دیجیۓ:
جولائی ۲۸, ۲۰۲۲
تاریخِ اِشاعت:
جون ۲۷, ۲۰۲۲

Nask Soft

انفارمیشن ٹیکنالوجی · 51-100 ملازمین - لاہور

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