I am an analytical and accuracy-driven professional with over eight years’ experience in accounting and finance field. Proven success leading preparation and analysis of financial reports, budgets, and forecasts and delivering service to attain customer loyalty and satisfaction while keeping complex accounting goals. Ability to boost customer satisfaction with service ethics and good communication skills. I am expert in driving efficiency and productivity through evaluation of financial management system and implementation of process improvements.
My key skills include Accounting Procedures, Financial Reporting & Analysis, Budgeting & Forecasting, Bank Reconciliation, Auditing, Team Leadership & Training, Variance Analysis, Accounts Receivable, Cash Management, Income & Sales Tax Return, Cash Flow Management, Profit/Loss Analysis, Payroll Management, Inventory Management and Problem Resolution
My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for executive roles. As such I would welcome a discussion regarding opportunities with your organization that fit my background.
Facilitate the exam conduction and marketing team in the developing overall strategic direction. Create and present budgets to regional offices on monthly, half yearly, and annual basis. Prepare, examine, verify, and enter income/sales tax return in the IRIS and FBR on a regular basis. Deliver reports to BOD, CEO, and Finance Director on variances from the budget, audit results, and document process. Hold full accountability for overseeing outsourced tasks, maintaining banking interactions, and examining salary transfers/appraisals, bonuses, and allowances. Produce collections and direct/administration expense reports in a timely manner. Play a key role in overseeing the creation of the company's budget for each quarter as well as conducting full internal audit. Retain documented system of accounting policies. Perform financial analysis of each project.
Selected Accomplishments:
Achieved bottom line results by developing test budgets, conducting forecast on cash flow positions and bank balances, and preparing final profit/loss analysis records of all projects.
Met operational and capital investment desires while assuring availability of appropriate funds.
Set a benchmark of excellence by examining company's financial performance quarterly/semi-annually and offering reports to Board of directors while suggesting improvement activities.
Attained predetermined goals by developing strategies while participating in target costing activities.
Rendered keen eye for details to administer CDK (cheque deposit kiosk) and Inter-Bank real time Gross settlement (RTGS). Supervised and maintained inward remittances and cash related books. Liable for issuing cheque book to customers in a timely manner.
Selected Accomplishments:
Identified, oversaw, and resolved customer complaints and queries to deliver excellent customer service.
Executed all processes as per the bank’s standard operating procedures to improve branch performance.