Role as Finance Manager
Preparation of Financial Statements of the Company on a Monthly, Quarterly & Annual basis.
Preparing the Analysis of the Companys GP & NP Margins on a Monthly, Quarterly & Annual basis.
Preparing Variance Analysis & Budgets of the Company.
Preparing Monthly Payment Plans & getting it executed.
Dealing with banks with regard to Import LCs & Contracts.
Following Payment dates of LCs & Contracts and negotiating Exchange Rates for Payment of Maturities of the same.
Utilizing Financial Facilities effectively for the better management of the Companys Finances.
Renewal of Loan Facilities and negotiating Markup Rates.
Developed and implemented new financial procedures which significantly increased efficiency.
Costing of Imported Goods.
Arranging External Audit of the Company.
Communicating with the Auditor with regard to Audit and supervising and finalizing it.
Conducting Internal Audit of the Company.
Managing Corporate Compliance of the Company.
Filling Annual Returns of the Company along with Form A & 29 Annually.
Incorporating and Updating Changes in SECP that might occur in the Companys structure during the course of time.
Role as Tax Manager
Preparation of Monthly Sales Tax Returns and filling it.
Preparation of Income Tax returns and filling it.
Preparation & filing of Withholding Statement Under Section 165 of the Income Tax Ordinance, 2001.
Attending the Hearing of various Tax Notices and preparing replies.
Preparation of Tax plan and implementation for the Tax Year.
Preparation of Monthly Sales & Income Tax Challans.
Supervising Role
Supervising overall operating activities.
Leading my Team.
Solving Team Issues and guiding them.
Overviewing Teamwork.
Implementing new rules and procedures to enhance the efficiency of the System.
Role as Finance ManagerPreparation of Financial Statements of the Company on a Monthly, Quarterly & Annual basis.Preparing the Analysis of the Companys GP & NP Margins on a Monthly, Quarterly & Annual basis.Preparing Variance Analysis & Budgets of the Company.Preparing Monthly Payment Plans & getting it executed.Dealing with banks with regard to Import LCs & Contracts.Following Payment dates of LCs & Contracts and negotiating Exchange Rates for Payment of Maturities of the same.Utilizing Financial Facilities effectively for the better management of the Companys Finances.Renewal of Loan Facilities and negotiating Markup Rates.Developed and implemented new financial procedures which significantly increased efficiency.Costing of Imported Goods.Arranging External Audit of the Company.Communicating with the Auditor with regard to Audit and supervising and finalizing it.Conducting Internal Audit of the Company.Managing Corporate Compliance of the Company.Filling Annual Returns of the Company along with Form A & 29 Annually.Incorporating and Updating Changes in SECP that might occur in the Companys structure during the course of time.Role as Tax ManagerPreparation of Monthly Sales Tax Returns and filling it.Preparation of Income Tax returns and filling it.Preparation & filing of Withholding Statement Under Section 165 of the Income Tax Ordinance, 2001.Attending the Hearing of various Tax Notices and preparing replies.Preparation of Tax plan and implementation for the Tax Year.Preparation of Monthly Sales & Income Tax Challans.Supervising RoleSupervising overall operating activities.Leading my Team.Solving Team Issues and guiding them.Overviewing Teamwork.Implementing new rules and procedures to enhance the efficiency of the System.
Here I was responsible for Prepation of Manual and electronic bokks of accounts of the company of various years
- Preparation part of financial statement and Management Accounts
- Preparation of filing of different forms of the Company with SECP.
- Correspondance with customer and suppliers.
Here, I was responsible for the followings
- Preparation of books of Accounts
- Preparation of monthly financial statements
- Checking variation in different areas of the above mentioned monthly financial statements
- Preparation and checking of salaries sheet