A qualified Chartered Management Accountant (CMA) from the prestigious Institute of Cost and Management Accountants of Pakistan with more than 18 years of diversified experience in the fields of financial management, ERP accounting, corporate taxation, budget planning, import / export handling.
Leading finance function of the company;
Funds management and controlling;
Preparation of financial statements;
Corporate taxation including tax planning, income tax, general sales tax, provincial sales tax, customs duties on imports, withholding tax etc.
Declaration and execution of NWD – Export Processing Zone for duties free imports under EPZA Ordinance 1980 and Customs Rules;
Preparation and finalizing annual income tax returns of the company;
Review of the export invoices in accordance with the Contractual arrangements with clients;
Monitoring of receivables according to Contractual arrangements;
Assist in smooth conduction of external audit;
Responsible of all bank dealings relating to main office and Project bank accounts,
Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
Assist board of directors for formulating policy guidelines;
Payables management of the company;
Inventory management and fixed asset management;
Supply chain management, pre-qualification of contractors, drafting contracts, evaluation of proposals and assist management in awarding contract;
Imports and exports handling;
Monthly production report (MPR) and production cost allocations;
Leading finance function of the company;
Funds management and controlling;
Preparation of financial statements;
Manage taxation matters including income tax, general sales tax, provincial sales tax including SRA, KPRA, PRA, BRA, customs duties on imports, withholding tax etc.
Preparation and finalizing annual income tax returns of the company.
Preparation and online filling of monthly withholding tax statements u/s 165, monthly GST returns and monthly PST returns.
Review of the Project invoices in accordance with the Contractual arrangements with client Companies;
Monitoring of Receivable Period according to Contractual arrangements;
Assist in smooth conduction of external audit;
Responsible of all bank dealings relating to main office and Project bank accounts, Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
Assist board of directors for formulating policy guidelines;
Payables management of the company;
Inventory management and fixed asset management;
Supply chain management, pre-qualification of contractors, drafting contracts, evaluation of proposals and assist management in awarding contract;
• Leading finance function of the company;
• Funds management and controlling;
• Preparation of financial statements;
• Manage taxation matters including income tax, general sales tax, provincial sales tax including SRA, KPRA, PRA, BRA, customs duties on imports, withholding tax etc.
• Preparation and finalizing annual income tax returns of the the company.
• Preparation and online filling of monthly withholding tax statements u/s 165, monthly GST returns and monthly PST returns.
• Review of the Project invoices in accordance with the Contractual arrangements with Oil and Gas Companies;
• Monitoring of Receivable Period according to Contractual arrangements;
• Assist in smooth conduction of external audit;
• Responsible of all bank dealings relating to main office and Project bank accounts, Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
• Assist board of directors for formulating policy guidelines;
• Payable management of the company;
• Inventory management and fixed asset management;
• Supply chain management, pre-qualification of contractors, drafting contracts, evaluation of proposals and assist management in awarding contract;
• Leading Finance function of the company;
• Funds management and controlling;
• Preparation of financial statements;
• Assist in smooth conduction of External Audit;
• Responsible of all bank dealings relating to bank accounts, Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
• Assist Board of Directors for formulating policy guidelines;
• Payables Management of the company;
• Preparation of bank reconciliation statements;
• Inventory management and fixed asset management;
• Supply Chain Management, pre-qualification of contractors, drafting contracts, evaluation of proposals and assist management in awarding contract;
• Follow up the Income Tax Department in finalizing the tax assessments;
• Liaison with Tax Consultant;
• Withholding of taxes from payments and uploading for e-payments on FBR portal.
• Preparation of monthly tax returns relating to Income Tax and GST;
• Leading Finance Function of the Branch office;
• Budget Planning in line with company objectives/targets;
• Funds management and controlling;
• Preparation of Fortnight and monthly management reports for Head Office relating to funds, revenue,receivables, inventories, fixed assets additions and deletions;
• Preparation of financial statements;
• Assist in smooth conduction of External Audit;
• Responsible of all bank dealings relating to main office and Project bank accounts, Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
• Inventory and fixed asset management;
• Payables Management of the company;
• Review of the Project invoices in accordance with the Contractual arrangements with Oil and Gas Companies;
• Monitoring of Receivable Period according to Contractual arrangements;
• Follow up the Income Tax Department in finalizing the tax assessments;
• Import and export of equipment and consumables for seismic projects;
• Assist in bidding process and seismic project proposals;
• Liaison with tax consultant in tax;
• Leading Finance Function of the Branch office;
• Budget Planning in line with company objectives/targets;
• Funds management and controlling;
• Preparation of Fortnight and monthly management reports for Head Office relating to funds, revenue,receivables, inventories, fixed assets additions and deletions;
• Preparation of financial statements;
• Assist in smooth conduction of External Audit;
• Responsible of all bank dealings relating to main office and Project bank accounts, Bid Bonds, Bank Guarantees, Performance Guarantees and Foreign Exchange issues;
• Inventory and fixed asset management;
• Payables Management of the company;
• Review of the Project invoices in accordance with the Contractual arrangements with Oil and Gas Companies;
• Monitoring of Receivable Period according to Contractual arrangements;
• Follow up the Income Tax Department in finalizing the tax assessments;
• Import and export of equipment and consumables for seismic projects;
• Assist in bidding process and seismic project proposals;
• Liaison with tax consultant in tax;