工作经历

公司标识
Manager Account
Fazaia Housing Scheme
Sep 2015 - 代表 | Lahore, Pakistan

• Prepare Financial Statements along with relevant analysis for the group based on financial reporting framework.

• Prepare reconciliations, schedules and other workings to support the Period End closing procedures.

• Working Capital Management (cash flows, accounts receivable and accounts payable) to make sure operations of the business run smoothly.

• Reviewing month end Reconciliation of Customer\'s and Supplier\'s Ledgers to make sure they reflect correct balances and conducting aging analysis on these balances and making sure that payments and receipts are processed on time.

• Financial Analysis of company’s financial statements on periodic basis primarily focused on performance analysis and cost and expenditure control.

• Review and Evaluate Various Documents including; receipts, expenditure, purchase orders, distributions and disbursement orders ensuring compliance with established regulatory standards.

• Intercompany reconciliations and administrate Intercompany and Intercountry transactions (payables and receivables).

• Perform project Forecasts and Budgets, cost tracking, monitoring and controls Presentation to appropriate Project site.

• Overseeing all Banking Operations (Loans, Asset financing) correspondence and bank reconciliations.

• Ensure all Payments to Suppliers, staff, and other external parties are made according to company policies and procedures.

• Prepare Fixed Assets accounting, depreciation and project accounting.

• Checking Payroll Processing, WPS transfers, salary disbursement, Staff settlements -end of service entitlements. • Ensure all Debit/Credit Notes are recorded appropriately on a monthly basis.

• Coordinating with external auditors for the Audit of reports.

• Performing Compliance Audits on internal policies, SOP’s (standard operating procedure) and manuals.

公司标识
Projects Accountant
National Logistic Cell (Eng)
Nov 2014 - Sep 2015 | Lahore, Pakistan

• Preparation of Financial Statements, financial analysis, projections and information.
• Responsible for all aspects of trade settlements: AR/AP
• Interproject reconciliations and administrate Intercompany and Interproject transactions (payables and receivables).
• Reconciliation with Existing software and Oracle R-10.
• Manage the day-to-day Petty Cash system
• Provide financial and management information on weekly, monthly and quarterly basis to senior management to aid business planning and decision-making to compile Financial Reports.
• Checking, Maintaining, Reconciling, Analyzing and correcting errors of inconsistency in financial entries and General Ledger Control Accounts such as Accounts Payable, Revenue, Fixed Assets, Cash, Inventory and Accounts Receivable.

公司标识
Manager Account & Audit
Ghosia Group of Companies
Jan 2013 - Oct 2014 | Lahore, Pakistan

Preparation of Group’s financial statements for management and tax prospective. Internal and external audit working for management and Tax Authorities (Withholding Tax). Cash flow projections to determine the optimum use of funds and its reporting to management. Supervision of staff salaries, Reconciliation, Bank correspondence, Land management, Customers’ adjustment and file workings, group financial budgeting. Chamber and Embassy working of Jordan Cement project and it’s all financial statements.

公司标识
Ass. Manager Account
Ghosia Builders
Apr 2008 - Dec 2012 | Lahore, Pakistan

Company and project’s financial vouching and audit as per policy for payable, receipts and site constructions tasks. Gauging levels of financial risks within organization via cash flows. Ensuring reconciliation of all financial activities and tax returns. Assist in company’s financial statement and housing sector client’s files adjustment and financial activities. Previous payable and receipts entries along with ledger updating.

公司标识
Accounts Officer
GHOSIA BUILDERS (Private) Limited
Feb 2007 - Apr 2008 | Lahore, Pakistan

Preparation of Daily, weekly financial activities, All kind of reconciliation, preparation of financial vouchers and recording. Liaison with bank and financial institutes. Assist in director’s and company’s annual Tax returns & financial statements. Working and submission of Withholding Tax returns and payroll disbursement.

公司标识
Accounts Officer
ADMOS International
Sep 2006 - Jan 2007 | Lahore, Pakistan

Manage the day-to-day Petty Cash system
• Prepare and review budget, revenue, expense, payroll entries, invoices, and other accounting documents.
• Compile and analyze financial information to prepare entries to accounts, such as general ledger accounts, and document business transactions.

学历

Global Institute Lahore
硕士, 工商管理硕士学位, MS (Accounting & finance)‎
Accounting & Finance
等级 A
2015

技能

熟练 Prepare and submit statutory accounts for
熟练 Accounting Software
熟练 Accounts review
熟练 bank reconciliation
熟练 both written and verbal • Be familiar with
熟练 data analysis
熟练 ERP
熟练 experience with TaxCalc
熟练 finance
熟练 Generating Reports
熟练 International Accounting Standards
熟练 IT Skill
熟练 partnerships and limited companies in accordance
熟练 payroll
中级 Pension
中级 Quickbooks is preferable
熟练 sales and purchase ledger reconciliation and
初学者 SAP
中级 4 Knowledge of Taxation
中级 AAccounting
中级 Ability To Liaise With National Authorities
熟练 Ability To Meet Deadlines
熟练 Ability to stay positive in high stress
熟练 Accoounts Management
熟练 Accounnts Management
熟练 Account
熟练 Account Handling
熟练 Account Management =
熟练 Account Reconciliation
中级 Account Sales Strategies
熟练 Accounting Applications Command
熟练 Accounting Consultancy
中级 Accounting ERP
中级 Accounting Principles
熟练 Accounting Software Command
熟练 Accounting Software;
熟练 Accounting+
熟练 Accounts
熟练 Accounts Administration
熟练 Accounts Acquisitions
熟练 Accounts Administration
中级 Accounts Analyzing
熟练 Accounts Coordination
熟练 Accounts Finialization
中级 Accounts Management
熟练 Accounts Managment
熟练 Accounts Payments Handling
熟练 Accounts Production
熟练 Accounts Software Command
熟练 Accurate Record Keeping

语言

熟练 乌尔都语
中级 Saraiki
熟练 旁遮普语