概要

Experience Assistant Manager Finance with a demonstrated experience of more than seven years in the corporate Health Care and Education industry. Skilled in Oracle, Microsoft Office, Teamwork, MIS and Leadership. Strong Finance Professional with a Master’s Degree

项目

PTA Indicator's database
Medical Lien Management (MLM)

工作经历

公司标识
Assistant Manager Finance
Al-Shifa Trust Eye Hospital
Mar 2019 - 代表 | Islamabad, Pakistan


Maintaining accounts and reconciling with GL and Finance System as per IAS & IFRS.
Doing Payable activities including payment to vendors, recording accruals, and cash management
Review all invoices for appropriate documentation and approval prior to payment.
Reviews, modifies, initiates and implements internal control procedures.
Prepare, examine, and analyze accounting records, financial statements, and other financial reports to assess accuracy, completeness, and conformance to reporting and procedural standards.
Ensures timely recording of fixed asset and inventory acquisitions / transfers / disposals.
Ensured proper project structure and Purchase Order defined & in line with contractual obligations for accuracy in capitalization process.
Generation of receivable invoices, collections (Cash receipt & student fees) from panels and ensured accuracy in posting and reporting.
Reconciliation of bank balances in the ERP to the general ledger module.
Reviews and updates the detailed schedule of fixed assets and accumulated depreciation.
Participated actively in ERP development & implementation for Fixed Asset, Inventory and CWIP IT module in Shifa Head office.
Uploaded 150,000 assets incorporated with GLs and Asset Classes and reconciled with Financial Statements.
Disbursements of timely budgets to Branch Hospitals on monthly basis and collecting expenditure analysis twice a month, preparing reconciliations and calculating P/L of the branches

公司标识
Finance Executive
Al-Shifa Trust Eye Hospital
Mar 2019 - 代表 | Rawalpindi, Pakistan


Record a wide variety of Journal entries.
Maintaining Banks, Salaries & Vendors accounts and reconciling with GL and Finance System. 
Maintaining & updating records of all Assets, CWIP Projects & Inventory as per IFRS.
Ensures all assets are marked with tag numbers.
Responsible for Payments that includes vendor’s payment & employee’s expenses
Generation of receivable invoices, collections (Cash receipt & student fees) from panels.
Reconcile the accounts receivable to ensure that all payments are received and properly posted.
Prepare monthly financial statements and reconcile bank statements. 
Perform month end account analysis.
Generate weekly aging reports

公司标识
Management Trainee Finance
Pakistan Telecommunication Authority
Sep 2018 - Feb 2019 | Islamabad, Pakistan


Provide general accounting support.
Updating all purchase receipts, invoices, and payments in system.
Preparing credit and debit notes and update ledgers.▪ Tracking and booking PO’s of all projects.
Making Bank Payment and Receipt vouchers.
Salries Reconciliation, cheque control System, Maintaining tax Register
Any other task assigned by the management

公司标识
Team Manager (Financial Operations)
Pro Global
Feb 2018 - Aug 2018 | Islamabad, Pakistan


Perform Medical Billing, Invoicing and maintaining aging reports.
Send statement to outstanding customers on monthly basis.
Verification of discrepancies by and resolve customer billing issues.
Data & Vendor’s Management on SAP
Support better management reporting, information flow and business process

公司标识
Officer Accounts
The City School (Pvt) Ltd
Jan 2017 - Sep 2017 | Islamabad, Pakistan


Doing Payable activities including payment to vendors, recording accruals, and cash management.
Reconciling all branches bank accounts (head imprest)▪ Monthly closing and preparation of consolidated income statement.
Adding & Retiring assets form oracle module▪
Rent calculation and tax deduction of rented campuses
Response to the queries related to provident fund balance in a timely manner.
Processing the Payroll of the region and recording the same in the books of accounts for correct depiction of company benefits payable to the employees.
Preparation of PF Cheques in adherence with company’s policies.
Calculations and processing of Final Settlements of the employees.

学历

The Institute of Certified Public Accountants of Pakistan (ICPAP).
证书, CPA‎
CPA
Incomplete
2023
Capital University of Science & Technology, Islamabad
硕士, 工商管理硕士学位, MBA-Finance‎
Accounting & Finance, Economics and Finance, Marketing
CGPA 3.85/4
2018
University of the Punjab
学士, 贸易学士, B.Com‎
Accounting, Business Communication, Finance
所占比重 50%
2014
Punjab College of Commerce, Islamabad
中级/A级, 贸易学学生, I.Com‎
Commerce, Banking, Accounting
所占比重 64%
2009

语言

初学者 旁遮普语
熟练 乌尔都语
熟练 英语

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Ahsan 联系人

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