I am ACCA member and a professional accountant. Now, I am studying MS RBF in CIIT Islamabad. Its my aim to build up carear in dynamic business environment.
Preparation of monthly, quarterly, and annual Financial Reports by pulling data from ERP.
Preparation of Annual Budget, performing Variance Analysis along with recommendation for management review.
Preparing Aged Payables & Receivables reports and forwarding for management review along with recommendations for payments and collection of overdue invoices, and managing prepayments.
Petty cash handling and reconcile cash book entries in ERP system.
Preparation of daily collection reports regarding fees and other incomes for management review.
Liaison with the customers and vendors for Ledger Reconciliation on month, interim and year basis
Preparation of monthly salary reports based on payroll system.
Preparing Bank Reconciliation Statement, reconciling checkbook ID (banks) with general and bank statements monthly basis
Recording fixed assets into the Fixed Asset Module, adjustments for financial accounts, depreciation, addition, deletion and retirement
Preparation of statuary payments including Provident fund & EOBI contribution, withholding tax deducted at source and other taxes required by law of land.
Preparation financial statements on interim and annual basis.
Keeping abreast of changes in financial regulations and legislation.
Preparation of monthly fund’s utilization report and comparatives to analyze the current situation with management.
Preparation of monthly fund request to acquire the funds from Head Office.
Liaison with external parties’ especially external auditors for final year audit.
Conducting reviews and evaluations along with head of department for cost-reduction opportunities.
Formulating strategic and operational organization financial plans along with head of department and
Verification of purchases including raw materials, Fixed Assets and general store items.
Preparation of GRINs in ERP (ORACLE) against POs & IGPs after the physical verification of items.
Reporting of discrepancies highlighted during physical verification of items.
Daily reporting of pendency related of POs against which GRINs are not yet prepared after receiving of goods.
Preparation of monthly audit reports with analytical analysis and report to CFO and Chairman if needed.
Monitoring the internal controls related to receipts and provide recommendations to management to remedying the weaknesses.
Assist in Assessing the adequacy and effectiveness of internal controls and risk management procedures, identifying weaknesses therein and recommending improvements to overcome those weaknesses especially in purchase process.
Liaison with external and internal auditors being a Member of Audit Committee.
Assisting the management in designing an Internal Control Framework confirming to the best corporate practices in purchases and inventory management.
Performing monthly stock counts and reconciling with stock reports generated through ERP (ORACLE).