概要

I have the experience of auditing the financial statements of the companies in accordance with the applicable laws. Working as an in charge of the audit team has equipped me with the expertise which is essential as a team leader. Working under the tight deadline has made me flexible to working conditions. Further, communication with the audit clients has given me enough experience of how to communicate in the business environment.

工作经历

公司标识
Manager (Finance, Accounts and Commercial)
Mira Power Limited
Feb 2021 - 代表 | Islamabad, Pakistan

Accounts & Finance


1


Reporting to heads of department i.e. Chief Financial Officer (CFO) & Manager Finance and Accounts




2


Preparation of monthly Financial Statements.




3


Recording, verification, approval and posting of journal entries and ensure periodic closing of accounts. Ensure that all financial transactions are documented, analyzed, coded and promptly posted to the Company’s books of account




4


Account Head verification for all the expenses incurred.




5


Checking of all Bank Payment/Receipt and Cash Payment/Receipt vouchers along with tax implications.




6


Quarterly reporting of Financial package to KOSEP and correspondence with KOSEP finance team.




7


Preparation of quarterly financial statements for the lenders.




8


Reviewing Fixed Asset Register of the company and its timely update for all the procurement/ disposals.




9


Reviewing the calculation of depreciation on monthly basis.




10


Maintaining all the record and preparation of amortization schedules for prepayments and security deposits.




11


Checking the monthly payroll.




12


Maintaining all the books of accounts of the company in accordance with the Companies ordinance 1984.




13


Preparation of Accounting and Finance Manual of the company and ensuring compliance with the same.




14


Preparation of schedules for advances to suppliers, payable to suppliers and loan amortization schedules for Loan to employees.




15


Correspondence with the Owner Engineer staff.




16


Detailed scrutiny of the expenses claims from Owner Engineer.




17


Assisting Project Development staff for the required information.




18


Managing the accounting software and reporting any problems incurred.




19


Preparation, audit and managing Employee Funds Accounts and serve as Trustee of Employee Funds.




20


Responding to the queries of ICA, onshore and offshore account banks




21


Preparation of equity injection plans of MPL.




22


Preparation of monthly project cost for management/lenders.




Budget Control


23


Annual budget preparation.




24


Preparation of Budget utilization report on monthly basis.




25


Reviewing the payments to be made is within the approved budget.




26


Preparation of budget utilization reports for the Owner Engineer.




27


Checking of the budget tagging to cost heads on daily basis.




Audit & Certifications


28


Coordinating annual audit of the company and other correspondence with the auditors.




29


Obtaining the annual audit report.




30


Assisting Shareholders\' in performing their group audit.




31


To get Certificates form the auditors regarding Finance Costs as per the Lenders/SBP Requirements.




Taxation


32


Managing monthly payments and tax returns with the Federal Board of Revenue.




33


Calculation of employee tax deduction on monthly basis in accordance with the income tax ordinance, 2001.




34


Calculation of monthly staff salary deduction and incorporating the same in Payroll module.




35


Filling of annual employer withholding tax return.




36


Issuance to Annual Employees Withholding tax certificates to the employees of MPL.




37


Preparation of quarterly advance tax and corresponding with tax advisor for timely filing.




38


Correspondence with the tax advisor of the Company for filling of annual income tax return.




39


Correspondence with the tax advisor of the Company in relation to the required opinions.




Project Documents


40


Management of operation of cash flow based on the Finance Agreements.




 


41


Assistance to Project development team in responding to the lenders/advisors/engineers\' queries.




 


42


Any other reasonable work instructed by the management of MPL.



公司标识
Assistant Manager Finance and Accounts
Mira power limited
Sep 2016 - Feb 2021 | Islamabad, Pakistan

Accounts & Finance


Reporting to head of department i.e. Chief Financial Officer (CFO)




Preparation of monthly Financial Statements.




Recording, verification, approval and posting of journal entries and ensure periodic closing of accounts. Ensure that all financial transactions are documented, analysed, coded and promptly posted to the Company’s books of account




Account Head verification for all the expenses incurred.




Checking of all Bank Payment/Receipt and Cash Payment/Receipt vouchers along with tax implications.




Quarterly reporting of Financial package to KOSEP and correspondence with KOSEP finance team.




Preparation of quarterly financial statements for the lenders.




Maintaining Fixed Asset Register of the company and timely updating it for all the procurement/ disposals.




Calculation of depreciation on monthly basis.




Maintaining all the record and preparation of amortization schedules for prepayments and security deposits.




Checking the monthly payroll prepared by admin department.




Maintaining all the books of accounts of the company in accordance with the Companies Act, 2017




Preparation of Accounting and Finance Manual of the company and ensuring compliance with the same.




Preparation of schedules for advances to suppliers, payable to suppliers and loan amortization schedules for Loan to employees.




Correspondence with the Owner Engineer staff.




Detailed scrutiny of the expenses claims from Owner Engineer.




Assisting Project Development staff for the required information.




Managing the accounting software and reporting any problems incurred.




Preparation, audit and managing Employee Funds Accounts and serve as Trustee of Employee Funds.




Responding to the queries of ICA, onshore and offshore account banks




Preparation of equity injection plans of MPL.




Preparation of monthly project cost for management/lenders.




Budget Control


Annual budget preparation .




Preparation of Budget utilization report.




Reviewing the payments to be made are within the approved budget.




Preparation of budget utilization reports for the Owner Engineer.




Checking of the budget tagging to cost heads on daily basis.




Audit & Certifications


Conducting annual audit of the company and other correspondence with the auditors.




Obtaining the annual audit report




Assisting Shareholders\' in performing their group audit.




To get Certificates form the auditors regarding Finance Costs as per the Lenders Requirements




Taxation


Managing monthly payments and tax returns with the Federal Board of Revenue.




Calculation of employee tax deduction on monthly basis in accordance with the income tax ordinance 2002.




Calculation of monthly staff salary deduction and incorporating the same in Payroll module.




Filling of annual employer withholding tax return.




Issuance to Annual Employees Withholding tax certificates to the employees of MPL.




Preparation of quarterly advance tax and corresponding with tax advisor for timely filing.




Correspondence with the tax advisor of the Company for filling of annual income tax return.




Correspondence with the tax advisor of the Company in relation to the required opinions.




Project Documents


Management of operation of cash flow based on the Finance Agreements.




Assistance to Project development team in responding to the lenders/advisors/engineering’s\' queries.




Any other reasonable work instructed by the management of MPL.



公司标识
Assistant Manager Audit and Assurance
KPMG Taseer Hadi & Co.
Jul 2015 - Aug 2016 | Islamabad, Pakistan


公司标识
Audit Supervisor
Jan 2013 - Jun 2015 | Islamabad, Pakistan

公司标识
Senior Audit Associate
KPMG TASEER HADI & CO (CHARTERED ACCOUNTANTS)
May 2009 - Nov 2012 | Islamabad, Pakistan

学历

Institute of Chartered Accountants of Pakistan
证书, CA-Finalist‎
Accounting & Finance, Management Accounting
Completed
2014
Institute of Chartered Accountants of Pakistan
硕士, , Chartered Accountancy‎
accountings and finance
等级 A+
2009
Fazaia Degree College Rafiqui Shorkot Cantt
中级/A级, , FSc (Pre Engineering)‎
Pre Engineering
2005
Governement High School, Shorkot City
大学入学/0级, , Matric In Science‎
Science
2003

技能

熟练 Audit Assignment Handling
熟练 CA (Partial)
中级 Delievry Planning
熟练 Funds Management
熟练 Funds Managment
熟练 GAAP
熟练 IFRS
熟练 Individual Contributor
熟练 International Financial Reporting Interpre
熟练 International Standards Auditing
中级 Managing Large Teams =
熟练 Managing Midsize Teams - 5 to 20 People
熟练 Production Process Knowledge
熟练 Stitching Skills
熟练 Vehicle Allocation

语言

熟练 英语

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