خلاصہ

A hardworking professional with an upbeat and positive attitude, who is looking for an opportunity to make a big difference in a business that is moving forward. Results driven and able to use initiative to develop effective solutions for the problems, whilst having an active and dynamic approach to work and getting things done efficiently.

Looking for a suitable managerial position with an exciting and ambitious organization that offers genuine room for progression.


Professional Qualificatio

تجربہ

کمپنی کا لوگو
Assistant Manager Accounts
Shangrila (Private) Limited
جولائی ۲۰۱۵ - موجودہ | Karachi, Pakistan

کمپنی کا لوگو
Accounts Executive
Shangrila (Private) Limited
جولائی ۲۰۱۴ - جون ۲۰۱۵ | Karachi, Pakistan

 Prepare Master Budget.
 Monthly preparation of Financial Statements and Allied Reports (Briefly describe under Accounts officer designation)
 Prepare and Analysis Sales Return (Damages)
 Sales Price working, circulate to concerns, update in ERP
 Cost Benefit Analysis of Products with special Promotions (i.e. Free Pack, Price off, 12+1 Scheme etc.)
 Prepare and Analysis of Discounts and Allowances trends on sales
 Deal, Coordinate and Communicate with Bank for Banking facilities such as Import limit facility (under USANCE or Sight), Hypothecation matters (of Finished Goods or Imported Machine), monthly submissions of stock report against the banking facilities and Corporate Account opening.
 SECP return filing of FORM A , FORM 29 and Registration and Evacuation of charge under hypothecation/Mortgage
 EXTERNAL AUDIT :Prepare Audited Accounts (Financial Statements with Notes thereof) as per IAS / IFRS requirement and do following
 coordinate and facilitate the auditors during the audit
 reply of audit objection(s) till audit accounts finalized
 Write ups of policies and procedure comply in the Accounts Departments.
 Prepare Master Budget.
 Monthly preparation of Financial Statements and Allied Reports (Briefly describe under Accounts officer designation)
 Prepare and Analysis Sales Return (Damages)
 Sales Price working, circulate to concerns, update in ERP
 Cost Benefit Analysis of Products with special Promotions (i.e. Free Pack, Price off, 12+1 Scheme etc.)
 Prepare and Analysis of Discounts and Allowances trends on sales
 Deal, Coordinate and Communicate with Bank for Banking facilities such as Import limit facility (under USANCE or Sight), Hypothecation matters (of Finished Goods or Imported Machine), monthly submissions of stock report against the banking facilities and Corporate Account opening.
 SECP return filing of FORM A , FORM 29 and Registration and Evacuation of charge under hypothecation/Mortgage
 EXTERNAL AUDIT :Prepare Audited Accounts (Financial Statements with Notes thereof) as per IAS / IFRS requirement and do following
 coordinate and facilitate the auditors during the audit
 reply of audit objection(s) till audit accounts finalized
 Write ups of policies and procedure comply in the Accounts Departments.

کمپنی کا لوگو
Accounts Officer
جولائی ۲۰۱۲ - جون ۲۰۱۴ | Karachi, Pakistan

 Monthly Prepare and Analyze of Financial Statements with Allied Reports i.e.
 Raw and Packing Valuation
 Finished Goods Valuation
 Sales Variance Analysis
 Sales Gap Analysis
 Product wise Gross Profit Analysis
 Raw & Packing Material Variance Analysis
 Freight Analysis with different variants
 Gratuity and LFA provisions
 Segment Reporting (Shangrila & Fuiti-O Brand).
 Ratios Analysis
 Developed “MS Excel Dashboard”, which elucidate the overall EXPENSES BREAKUP of the organization with the historic data, helps the management to identify the keys areas of major expenses and measurement tools for controlling thereafter.
 Prepare & Compare Monthly Cash Budget.
 Letter of Credit (LC): Compute COSTING of Raw Material, Packing Material, Machine Parts and Machines, being imported.
 EXTERNAL AUDIT :Prepare Audited Accounts(Financial Statements with Notes thereof) at per IAS / IFRS requirement and do following
 coordinate and facilitate the auditors during the audit
 reply of audit objection(s) till audit accounts finalized
 Debit Note(s) follow up with purchase department and posting thereafter.
 Monthly transfer of Expenses from Prepaid Account to related expenses accounts and reconcile thereafter.
 Daily Bank Reconciliation and reporting afterward.

تعلیم

Institute of Cost & Management Accountancy of Pakistan (ICMAP)
سرٹیفیکیشن, Cost and Management Accountant‎
Management Accounting
مکمل
2019
University of Karachi
ماسٹرز, , Masters in Business Administration‎
Accounting
2012

پیشہ ورانہ مہارتیں

متوسط Capital Budgeting
متوسط Financial Modeling and
ماہر Financial Statement Analysis+
ماہر Handling Assignments
ماہر Invoice Discounting
ماہر Japanese & Korean Language Proficiency
ماہر Revenue Recognition
ماہر SECP Filings
متوسط Solutions Accounting Software Command

زبانیں

ماہر اردو
متوسط انگریزی

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