Results-driven finance professional with over 7 years of experience in budgeting, financial analysis, and full-spectrum accounting operations. Currently serving as an Assistant Accounts Officer at Pakistan Airports Authority (CAA), managing budget execution, financial reconciliations, and compliance for over 163 bank accounts. Proficient in preparing management reports, supporting audits, and streamlining workflows through Oracle ERP and QuickBooks.
Skilled in bookkeeping, petty cash management, payroll, and bank reconciliations, with strong command over accounts payable, follow-ups on pending payments, and tax compliance. Well-versed in withholding tax (Income Tax & GST), along with quarterly and annual e-filing of employees and vendors. Known for accuracy, reliability, and efficiency in delivering financial operations within regulatory frameworks.
Responsibilities:
Manage comprehensive financial operations, including bookkeeping via Oracle ERP, journal vouchers, bank payments, and receipts.
Conduct monthly reconciliations across 30+ locations nationwide.
Oversee supplier management and ensure compliance with payment terms.
Assist with external and tax audits, preparing supporting documentation.
Manage and reconcile 163 active bank accounts, ensuring accuracy and control.
Provide executive-level support to the General Manager for financial planning and decisions.
Maintain and manage all Disbursement Branch documentation with accuracy and efficiency.
Leverage Microsoft Office tools to (MS Excel, Word etc) streamline financial reporting and enhance operational performance.
Responsibilities:
· Management of Payable and Receivable.
· Management of Payroll.
· Bank reconciliations of all Bank accounts.
· Petty cash management.
· E-filling of withholding Tax Quarterly and annually .
· Assistance in Tax Audits and external Audits.
· Book keeping. (ERP)
· Work on Ms. Office (word, Excel, PowerPoint)
Responsibilities:
Managed bookkeeping and journal entries using QuickBooks
Processed bank payments, receipts, and vouchers
Handled income tax & GST withholding, including PSID generation
Filed quarterly/annual tax returns and supported external audits
Reconciled bank accounts and monthly donations
Assisted in budget preparation and flood relief project accounting
Prepared financial reports to support management decisions
Demonstrated expertise in bank reconciliations, donation reconciliations, and petty cash management. Skilled in ensuring compliance with Income Tax and GST regulations, including e-filing and preparation of withholding returns. Adept at assisting with tax and external audits, and proficient in generating comprehensive financial reports. Strong proficiency in Microsoft Office Suite (Word, Excel, PowerPoint) and effective email communication.