خلاصہ

· Accounting Expertise: Accounting book keeping and financial management which includes funding, liquidity, bank reconciliation and GL control


· Equity Settlement: Expertise in equity market operations and settlement


· Payment Reconciliation: Expertise in reconciling client payments against invoices, ensuring all financial transactions align with the company's records.


· Withholding Tax Compliance: Ensured compliance with tax regulations by accurately calculating withholding tax (WHT) on vendor payments and preparing necessary documentation for tax authorities.


· Regulatory Compliance: In-depth knowledge of AML/CFT guidelines, with a strong focus on reporting and adherence.


· Efficient Transactions: Demonstrated proficiency in handling client payment and receipt transactions promptly and accurately.


· Client Services Specialist: Proven track record in client account management, ensuring strict compliance with KYC and AML/CFT regulations.

تجربہ

کمپنی کا لوگو
Assistant Manager - Operation
Vector Securities (Pvt) Limited
اکتوبر ۲۰۲۱ - موجودہ | Karachi, Pakistan

·         Prepare daily MIS reporting for the management
·         Perform settlement activities of daily trading activities
·         Make daily CAS (Client Asset Segregation) Statement on daily basis
·         Finalize CAS on fortnightly basis for reporting purpose.
·         Daily Bank Reconciliation.
·         Opening of new accounts and updating the changes in NCCPL and CDC
·         Ensure proper record keeping of AOF and scanned documents of clients
·         Prepare quarterly and annual AML report
·         Handling clients complaints and grievances
·         Timely execution of MTS trades and reconcile with NCCPL

کمپنی کا لوگو
Accounts Officer
Mustang Security Services (Pvt.) Ltd
اگست ۲۰۱٦ - اگست ۲۰۲۱ | Karachi, Pakistan

• Maintain the funding/Liquidity position of the company
• Bank reconciliation of bank accounts of company
• Make all the payments
• Calculation of withholding tax for payments to vendors
• Reconcile vendors
• Reconcile zonal petty cash
• Record payment vouchers
• Recording of closing entries
• Ensure internal controls and compliances
• Arrange documentations related to Running Finance facility, Letter of Guarantee
• Assist in various matters during annual audit
• Deal with all the banking related queries
• Co-ordination with bank for discrepancies.

کمپنی کا لوگو
Assistant Manager
IGI Finex Securities Limited
اپریل ۲۰۰٦ - فروری ۲۰۱٦ | Karachi, Pakistan

• Maintain the funding/Liquidity position of the company
• Bank reconciliation of bank accounts of company
• Deal with all the banking related queries
• Control and review payment and receipts of individual and institutional clients
• Coordination with the regulatory bodies
• Handle clients complaints and grievances
• Review payments to vendors
• Prepare accrual of various income and expense heads
• Petty Cash handling
• Ensure internal controls and compliances
• Assist in various matters during annual audit
• Assist in preparation of quarterly and annual accounts
• Assist in preparation of papers to be presented to audit committee and Board of Directors

تعلیم

University of Karachi
بیچلرز, , Bachelors in Commerce‎
Accounting
درجہ C
2003

پیشہ ورانہ مہارتیں

ماہر Accounting+
ماہر Accounts Administration
ماہر Accounts Software Command
ماہر Conservation Awareness
ماہر Contract Renewal
متوسط Fund Administration
ماہر Handling Assignments
ماہر Microsoft Outlook
ماہر Pursuing News Stories
ماہر Social Welfare Management
ماہر Stitching Skills
متوسط Tax Accounting
ماہر Treasury
ماہر Voucher Management
ماہر تسوية المدفوعات

زبانیں

متوسط انگریزی
ماہر اردو