A results-oriented, accurate and performance-driven Accounts & Finance Manager with an extensive experience in being in charge of all financial functions within the company. Adept at managing financial teams, allocating budget, completing financial reports and statements, and conducting financial forecasts. Effective communicator with great time management skills and well-developed analytical abilities. I have extensive technical skills, including in Microsoft, Quick Books and SAP B1. In addition, I have excellent interpersonal and problem-solving skills that promote strong reliability and trust with stakeholders.
• Preparation of asset, liability, and capital account entries by compiling and analyzing account
information.
• Documentation of financial transactions by entering account information.
• Preparation of company accounts / financial statements on quarterly and annual basis.
• Ensure that accounts are properly closed at the end of each month then conduct internal audit on
quarterly basis.
• Ensure proper filing of voucher with supporting documents & recording of operating expenses in
the software.
• Preparation of stock valuation for the purpose of financial statements & reporting to management.
• Maintaining fixed assets register for reporting of movement in assets during the period.
• Sending invoices and ledgers on daily basis to customers as and when changes occur in relevant
ledger.
• Reconciliation ledgers which include creditors, debtors, banks, petty cash etc.
• Securing financial information by completing database backups.
• Preparation of incentives on sales for sales & technical staff as per written in company policy.
• Preparation of plans for proper utilization of funds.
• Preparing employees’ payroll by the end of each month.
• Schedule bank payments or issuing paychecks directly to employees.
• Bookkeeping by using Quick Books and SAP B1 Accounting Software.
• Meeting with foreign delegations supplying the materials to the organization.
• E-filing of Sales Tax Return and preparation of all related Annexures by the end of each month.
• E-Filing of Income Tax Return of company and directors by the end of every year.
• Meeting with shipping lines negotiating freight, transit time, delivery order charges & detention
free days at destination.
• Arrangement & booking of containers as per demand at competitive rates.
• Timely loading of goods from the supplier’s factory with the coordination of supply chain manager.
• Liaise with banker for the timely opening of import bank contract / LC before loading the container.
• Provide & confirm all the documents related to each shipment with the supplier on timely basis.
• Retiring of documents for each shipment from bank before arrival of container at Karachi port.
• Timely arrangement of original documents to the clearing agent before the arrival of shipment.
• Payment for custom duties and taxes on time against each generated PSID.
• Prepare details of all the in-transit goods and update to the relevant department.
• Follow up of custom clearances, submission of import consumptions & release of bank guarantees.
• Book Keeping on Quick Books Accounting software
• Prepare asset, liability, and capital account entries by compiling and analyzing account information.
• Summarizes current financial status by collecting information; preparing balance sheet, profit and
loss statement, and other reports.
• Substantiate financial transactions by auditing documents.
• Document financial transactions by entering account information.
• Reconcile financial discrepancies by collecting and analyzing account information.
• Secure financial information by completing data base backups.
• Prepare payments by verifying documentation, and requesting disbursements.
• Uploading of Sales tax return.
• Preparation of Sales tax registers under Sales Tax Act, 1990.
• Preparation of Purchase register under Sales Tax Act, 1990.
• Preparation of Stock register.
• Book Keeping on Quick Books Accounting software.