概要

To work for the organization to the best of my knowledge and ability from where the organization could benefit from my services and provide me with knowledge that are professionally important to me.

工作经历

公司标识
Senior Audit Associate
Naveed Zafar Husain Jaffery & Co.
Nov 2016 - Mar 2019 | Lahore, Pakistan

Performed Financial statements analysis and prepared detailed summary that would be useful in making changes or identifying risks to the engagement and communication with seniors/ managers in order to made required changes or modifying plan of action
As an Active team player in a planning process took part in making effective audit procedures based on risk identified.
Development of procedures by studying or by developing an in depth understanding of entity internal controls, SOPs identifying the main risk areas, authorization patterns working methodology, identifying how these procedures help in achieving company objectives, highlighting weaknesses that might have a material effect on financial information systems.
Preparing effective ICEQ’s ICQ’s to fetch actual performance of clients systems and procedures and developed effective Test procedures based on information gathered,
Identified and communicated weaknesses with in the Entity internal Controls, drafted recommendations to said weaknesses.
Performed Test of details and Controls
Based on outcome modified and designed further Audit procedures where required and alternative audit procedure where required.
Identified Control weaknesses and material misstatements and prepared further response ad required by firm quality control procedures and as per Intl Standards on Auditing (ISA’s)
Review and discussion with the team about audit judgment’s that were being made, preparation of the summary of key audit findings and their impact on the audit report.

公司标识
Accounts Executive
Ittefaq Group
Aug 2015 - Nov 2015 | Lahore, Pakistan

• Incomplete Accounting Records and Cash balances, using Analytical & Accounting Expertise, collected and presented accounting information through, various reconciliation techniques and analytics, adjusted and updated the Receivables and payables balances adjusted outstanding obligations, highlighted prepayments, reconciled various parties outstanding positions. Removed ambiguity and updated partial information to complete Accounting Picture and financials along with supporting’s such as relevant facts and evidence
• Suggested Accounting procedures changes to reduce cost, increase efficiency and reduction in lead times
• Created periodic reports comparing budgeted costs to actual costs
• Analyzed and researched reporting issues to improve accounting operations procedures
• Took Initiative to make Correspondence with other departments for funds forecasting, and smooth running of cash flows resulted in Reduced delays better operation and coordination and cost savings.
• Supervised And managed All Financial Matters In Fast Track Project,
• Over viewed And Maintained Financial Information Involving basic journal Entries To All Ledgers And upto Reporting of Financial Information,
• Managed disputes and Maintained Accurate Payables And receivables Ledgers and other local Suppliers,
• Prepared Bank And Receivables Payables Ledger Reconciliation,
• Managed financials as per Budget and controlled Costs under Set Constraints by setting Priorities and efficient Cash flow management.

公司标识
Accounts Officer
Akhtar Trading Corporation
Aug 2011 - Dec 2013 | Jehlum, Pakistan

• Receiving And Procession all Expenses and Incomes i.e preparing Vouchers, receipt, and invoices processing through respective registers up to Computerized Accounting System.
• Preparing Cashbook on Daily Basis, Handling and Writing cheques
• Maintaining Spread Sheets and liaison with banks and other Organizations over financial Matters
• Preparing receivables and Payables ledgers Reconciliation and handle and managed disputes with other parties.
• Making Efficient Use Of running Finances, overseeing credit sales Whilst maintained adequate cash liquidity
• managed more than 60 firms clients receivables balances and processing for recovery procedures preparing aged receivables analysis Reports
• making Payment through demand cheques/pay order to suppliers and made necessary Adjustment where sales made to suppliers
• Reviewing suppliers ledger Accounts and invoices ensuring that no discrepancy exists b/w company accounts and suppliers Accounts and reconciled and prepared reports where exists
• Making Efficient use of excess funds i.e. investing for short terms when cash and bank is more than required

学历

ACCA Pakistan
证书, ACCA (Associate Chartered Certified Accountant)‎
Accounts, Audit and Finance
Completed
2015
University of the Punjab
学士, 贸易学士, B.Com‎
Accounts, Audit and Finance
等级 B+
2012
ACCA Pakistan
学士, , CAT‎
Accounts, Audit and Finance
所占比重 60%
2011

技能

中级 AAccounting
中级 Account Mapping
熟练 Accounting Consultancy
熟练 Auditing
熟练 Bookkeeping
中级 Budgeting & Forecasting
中级 Cash Flow Management
中级 Cash Flow Reporting
中级 Concept Based Teaching
初学者 Consolidated Financial Statements
中级 Corporate Accounting
中级 Cost Variance Analysis
中级 Economic Financial Analysis
中级 External Audit
中级 Financial Audit Compliance
中级 Financial Ratios Analysis
熟练 GL Reconciliations
熟练 Handling Assignments
中级 IFRS
中级 Incomplete Accounting records
中级 Individual Contributor
中级 Internal Audit Command
中级 International Standards Auditing
中级 Inventory Valuation
熟练 Korean Teaching
熟练 Reconciliation
中级 Sales Audit
熟练 Sales Report
熟练 Social Welfare Management
熟练 Stitching Skills
中级 Stock Analyzes
中级 التمويل الحسابي

语言

熟练 英语
熟练 乌尔都语