To grow in a progressive organization, being an active member of the Finance Team where the blend of my educational career and enhanced professional skills can help in achieving the goals of the company. I would like to exploit my potential and sense of obligation for my vertical growth and the benefit of the organization
· Exploring and analyzing appropriate investment avenues for the organization.
· Prepare and present Asset Liability Committee (ALCO) in reviewing and managing liquidity & interest rate risk by preparing annual budgets, financial forecasts, cashflow mapping and portfolio strategies.
· Cash Management (Cash Forecasting, Budgeting & Generation of funds for timely payments, disbursements and Bank repayment).
· Primary market investment of government securities through auctions from competitive & non-competitive bids.
· Secondary market investments including PIBs, T-Bills, TDRs to manage investment portfolio.
· Coordination with internal departments for forecasts, analyzing borrowing needs, funds requirement and to prepare microfinance sector related information required by banks.
· Preparation of different projections and comparisons for higher management.
· Creation of master data and posting to record all investment transactions in ERP (SAP S/4HANA) for smooth reconciliations and Settlements.
· Prepare weekly newsletter on money market for senior management and any other research reports on the economy with special focus on microfinance sector.
· Maintaining effective operational network with key Banks and Financial Institutions to ensure smooth operations, money market limits and ensuring to keep approval documentation in place for treasury transactions.
· Arrangement of All Financing Facilities (RF, CF, ERF, LC, LG, FATR, FIM, TERF).
· Primary & Secondary market Investments including PIBs, T-Bills, TDR’s, Sukuk.
· Cash Management (Cash Forecasting, Budgeting, Generation of Funds).
· Disbursement of Dividends.
· Preparation of Finance Cost & Stock Reports.
· Management of all insurances (Plant, Machinery, Fire, Marine) and related matters.
· Charge Management against Financing Facilities.
· Management of Banking Relationships.
· Management of Foreign Trade Portfolio (Raw Material & Machinery import of Four Plants & Exports).
· EIF (Electronic Import Form) Management.
· Dealing with Insurance of imported items and arrangement of survey and claim against insurance policies.
· Preparation of EE/EF Statements.
· Management of Letter of Guarantees issued in favor and on behalf of Bestway.
· Preparation of Different Projections and Comparisons for Higher Management.
· Ensuring, record of all transactions in ERP for smooth reconciliations and Settlements.
· Assist in Establishment and Management of Treasury Policies and Procedures.
· Monitoring and managing all other Treasury Operations.
Foreign Exchange rates negotiation of both inward and outward remittances
· Export rebates handling, processing and submission of return documents.
· Exports EE/EF financing preparation and submission to State bank of Pakistan.
· Data controlling.
Reporting to Manager and good relationship with all stakeholders