概要

Working as Finance professional having an experience of 7 years in Accounts and Finance in NBFI & Service Industry. I am seeking a secure and a challenging position that will capitalize my Accounting / Finance professional experience for career growth.

工作经历

公司标识
Assistant Manager Finance
Paramount Fine Foods - Pakistan
Dec 2016 - 代表 | Karachi, Pakistan

•   To oversee the daily operations related to financial activities including review of all payments processed.
•   Dealing with bank officials related to banking transactions.
•   Preparing Bank Position on daily basis and Bank Reconciliation Statement.
•   Calculating food cost on weekly and monthly basis to control wastages.
•   To prepare submission of monthly Sales Tax Return after successful adjustment of                                                                                              input & output taxes.
•   Assist Manager Finance in preparation of Profit & loss Statement on monthly and yearly basis.
•   Overseeing the preparation and reporting of periodical reporting packs as required by the respective franchisee “Paramount Holdings Inc.”
•   Overseeing the daily cash & credit sales movement of restaurants from restaurant to Bank and to manage the cash flow of the entity.
•   Assist Manager Finance in preparation, consolidation and review of quarterly and annual budgeting processes and plans for the entity.
•   Assisting developers regarding backend working to financial module in ERP.
•   Oversee the timely update of the payroll database to ensure the accuracy of payroll data and information.
•   Handling Additional responsibilities for betterment of the company;      
1.       Procurement & Supply Chain
2.       HR Operations include Policy making
Regulatory matter includes Trade License, Food License, EOBI, SESSI.

公司标识
Accounts Officer
First Paramount Modaraba
Nov 2015 - Dec 2016 | Karachi, Pakistan

• To prepare Bank Position on daily basis for Higher Managements.
• To coordinate with the team to book liabilities on weekly or monthly basis.
• To take follow up from Banks on foreign Trade remittance issues and other related documents.
• To report Monthly Financials to SECP (Securities and Exchange Commission of Pakistan).
• To prepare Bank reconciliation statement on weekly and monthly basis.
• Prepare Profit and Loss statement project wise.
• To adjust accrued expenses and Profit / Loss on monthly basis.
• To authorize the vouchers and payments in Entrum (Sidat Haider Financial Module).
• To record Consumption of inventory on monthly basis.
• To handle Petty cash of the department and booking of its expenses for reimbursements.
• To Coordinate with Auditors for Financial Statements & its finalization

公司标识
Accounts Officer
MCR Pvt. Limited
Sep 2012 - Oct 2015 | Karachi, Pakistan

• To manage payable through credit notes, debit notes, MRNs, GRNs etc.
• To record fixed assets on Capex Module on Oracle Based ERP.
• To prepare payment of clearing agents after adjustment of advance taxes & duties.
• To adjust advances paid to the supplier for the fiscal year.
• To reconcile cash sales & credit sales on daily, weekly & monthly basis.
• To coordinate with different banks on financial issues like fund management.
• Prepare daily, weekly & monthly sales report for the top management.
• To reimburse petty cash of 58 restaurants all over pakistan after successful apportionment of the expenses to the appropriate accounting ledgers.
• To open material codes, vendor ids & cost center on CRM Module for appropriate accounting treatments.
• To coordinate with the external auditors regarding monthly sales audit, also assist a financial audit for the year 2012-2013.
• Assigned a target to get book all the liabilities at the end of the financial year.
• Assist Manager Finance in making financial statements for the year.
• To reconcile vendors ledger on payment issues

学历

Federal Urdu University of Arts Sciences and Technology
硕士, 工商管理硕士学位, ‎
Accounting & Finance
2021
University of Karachi
学士, 贸易学士, B.Com‎
Accounting, Economics, Statistics
2015
Govt. Degree Science & Commerce College
中级/A级, 理学院(工程预科), Intermediate‎
Physics, Chemistry, Mathematics
等级 C+
2010
Waves Grammar School
大学入学/0级, 科学, Matriculation‎
Physics, Chemistry, Mathematics
等级 A
2007

技能

中级 Handling Assignments
中级 Korean Teaching
中级 Microsoft Outlook
中级 Peachtree Command
中级 Tax Record
中级 Vehicle Allocation
中级 الكتابة الطبية

语言

熟练 乌尔都语
中级 英语

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