خلاصہ

Well-qualified financial systems leader offering demonstrated skill and success in managing internal accounting processes, improving controls and strengthening systems for optimal performance. Proficient in all aspects of accounting, including accounts payable and receivable, budget administration and payroll. Gifted in building and leading solid teams to handle high-volume operations with consistency, accuracy and full compliance with regulatory requirements.

تجربہ

کمپنی کا لوگو
Sr. Manager Accounts
Al-Raheem Garden
اپریل ۲۰۲۲ - موجودہ | Lahore, Pakistan

·   Prepared, examined, and analyzed accounting records & financial statements
·   Assessed weekly, monthly, quarterly and annual reports; reviewed all general ledger account balances, financial statements such as the monthly Trial Balance, Profit & Loss statement and the Balance Sheet. 
·   Recognition of Revenue and expenses as per applicable accounting techniques in real estate sector.
·   Analysis of operating expenses and revenue-Budgeting
·   Preparation of budgets and variance analysis for CEO for better decision making
·   Preparation of feasibility reports of projects
·   Prepared Pricing and Profitability of all the blocks and advised changes to achieve required rate of return.
·   Working on implementation of ERP system in the organization
·   Analyze costs, pricing, variable contributions, sales results and company’s actual performance compared to business plans
·   Conduct reviews and evaluations for cost-reduction opportunities
·   Liaising with Anti money laundering department for implementation of new policies under DNFBP
·   Liaising with NAB team for submission of relevant data under applicable laws
·   Liaising with FBR for responses of different notices.
·   Responsible for filing annual tax returns
·   Responsible for fixed assets accounting, trial balance, general ledger and complete accounting cycle for assigned tasks including revenue, expense, closing & reporting.
·   Chart of account management and managing internal controls regarding use of Accounting Software

کمپنی کا لوگو
Assistant Manager Accounts
Design and Engineering Systems Pvt. ltd.
فروری ۲۰۲۱ - مارچ ۲۰۲۲ | Lahore, Pakistan

·   Prepared, examined, and analyzed accounting records & financial statements in accordance with applicable IFRS/ IAS.
·   Prepared financial reports from vast and complex data that aid management for decision- making.
·   Organized and submitted budget exercise within timelines; monitored budget accuracy and deliver explanation on deviation from plan to aid management in planning
·   Oversee the operations of the finance department, set goals and objectives and design a framework for these to be met
·   Recognition of revenue of the project with respect to relevant period as per work completion certificate obtained from the relevant authority.
·   Calculation of backlog revenue of the contract and reporting it in the relevant period.
·   Correspond with various other departments, discussing company plans and agreeing of future paths to be taken
·   Reviewed and analyzed financial accounting information and presented analysis and commentary to key business partners
·   Collaborated with teams including cash operations, treasury and tax
·   Chart of account management and managing internal controls
Managing GL team of all sites and supervising completeness of accounting cycle.
·   Liaising with tax consultant for filing income tax return
·   Leading the treasury section & ensure effective & efficient utilization of funds and closely monitor funds movement and cash requirements.
·   Verification of all bank/cash payments of vendor’s, contractors & service providers according to their contracts, purchase orders, work order, other agreements, rents & Utilities
·   Ensure the FBR & other regulatory compliance.
·   Preparation of feasibility reports of projects

کمپنی کا لوگو
Senior Finance Officer
The Indus Hospital
جنوری ۲۰۱٦ - فروری ۲۰۲۱ | Lahore, Pakistan

·  Preparation of financial statements in accordance with applicable IFRS/ IAS, ensure all financial reporting deadlines are met.





·  Preparation of consolidated financial statements as per international financial reporting standard.





·  Preparation of Budget, Variance Analysis Report, Bank Reconciliation Statement, Receipts and Payments.





·  Oversaw the month end, quarter end and year end closing of books, reconciliations, and journal entries





·  Processing of payments after verification of insurance policies, Preparation of consolidated insurance schedule and periodically amortizing on basis of contract related to General insurance, health and life.





·   Verification of all payments related to vendors for goods/services after completion of documentation





·   Maintain advances schedule, settlement of advances after receiving invoice, GRN, DC & work completion certificate





·   Payroll processing and supervising PF, withholding tax, all other contributions & disbursement of payroll through individual bank account, pay order, IBFT & Cash salary.





·   Functioned in close coordination; with external and internal auditors, during annual statutory audit and to ensure compliance with IASs & IFRSs, as well as HR department for payroll and final settlements related issues.












































کمپنی کا لوگو
Accounts Officer
Sharif Poultry Farms Pvt. Ltd
فروری ۲۰۱۴ - جنوری ۲۰۱٦ | Lahore, Pakistan

·   Preparation, verification & payment of salary, overtime, leave encashment, gratuity and final settlement





·   Payment of locally purchased goods after verification of approved purchase order with goods received note





·   Liaising with internal auditors for completion of accounting cycle as per SOPs of the company.





·   Liaising with external auditors for timely completion of annual audit activity





·   Preparation and reconciliation of accrued expenses i.e., rent, utilities, admin and other relevant expenses.





·    Preparation and payment of EOBI and PESSI





·    Posting of bank payment and cash payment vouchers





·    Creation of provisions of gratuity and bonus;





·    Breakup of monthly salaries, overtime, bonus, gratuity and leave encashment;





·    Admin & Selling expenses ledger reconciliation with accounts;





·    Prepare schedule & reconciliation of vehicles fuel & repair expenses;





·    Liaise with group tax department for sales tax and income tax matters.





·    Preparation of daily bank reconciliation statement



























































 













تعلیم

ICMAP LHE
سرٹیفیکیشن, ‎
Acma
مکمل
2018
Govt. M.A.O College Lahore
بیچلرز, بیچلرز ان کامرس, ‎
Commerce
2011

پیشہ ورانہ مہارتیں

متوسط 4 Knowledge of Taxation
ماہر Accounting & Finance
ماہر Accounting Transaction Management
ابتدائی Accounts Sales Strategies
متوسط Auditing
ماہر Balance Sheet Handling
ماہر Bank Reconciliation on
ماہر Budgeting
ماہر Cash Flow Reporting
ماہر Data Comparison
ماہر Data Entry
ماہر eFiling Of Tax Returns
متوسط ERP
ماہر Financial Accounting
ماہر Financial Analysis
ماہر Financial Management, Taxation, Accounts
متوسط Financial Statement Analysis+
متوسط Forecast
متوسط Income Tax
ماہر Korean Teaching
ماہر MS Excel
ماہر P&L
ماہر P&L And Balance Sheet
متوسط Planning
ماہر Reconciliation Knowledge
ماہر Reconciliations
ماہر Reporting
متوسط Reporting & Budgeting
متوسط Tax Filling & Return
ماہر Tax Return
متوسط Taxation
ماہر Transaction Operations
ماہر Vendor Management
ماہر Wizmen

زبانیں

ماہر اردو
ماہر انگریزی