概要

To manage all operation work in Region.


Review the cars documents and feed back to purchased team


Verified the documents from Excise & taxation Department


Follow up of cash and expanse detail from Purchased center


Maintain Assets report and report to Reginal manage operation and Head of Operation


Manage all Admin work and coordinate with Manager administration on Daily basis.


Maintain proper record of petty cash on monthly basis and report to finance department.


Maintain properly vehicle documents record on monthly basis.


working with relevant department in region (IT, Admin, Expansion ,Finance, Operation ) Coordinate with them and they assignee any duty to work


Direct Reporting to Regional Manger Operation and Head of Operation on weekly basis and discuss the issues and feed back them.


control all admin task on daily basis with liaison of other team member

工作经历

公司标识
Manager Finance
Car First (FCG Germany GmbH)
Apr 2021 - Aug 2022 | Faisalabad, Pakistan

Manage all the teams in Faisalabad region team and lead them
Mantaine daily rutine work and assigne duties to staff
Maintian Ledgers of Receivable & payables on daily basis
Follow up of receivable on weekly basis
Bank Reconcile on monthly basis
Support head office finance team for internal and external auidt .
Financial reports on monthly, quarterly and years basis and report to CFO and Senior Management
Cash Flow statment (In Flow & Out Flow ) on Weekly & monthly basis
Working on monthly Quarterly & Yearly budgeting of compnies
Variance analysis of budget and  financail Reports 
Wroking on pre budgeting and post budgeting and get it analysis on qaurtalry basis
Perpaer Balance Sheets and financil reports of current finicial position of company
knowledge of Tax Dedcution properly Income Tax Sales Tax
Maintain Daily basis cash flow statement, cash record bank record
Manage all financila transction PO Cheques  drafts cash on daily basis and deposite in company account and psot the account enteries in SAP accounting soaftware
Well versed working on Accounting Software ERP, SAP.
Well Known and working on  Microsoft office ( Excle, Word, Power piont Google Doc)
Make proper professional  excle sheet of expense, cash flow , trail balance , balance sheet ,Variance Analysis.
laising with customers and delaer on daily basis
verifcation of all vehcile data from excise and FBR department on daily basis
Maintain daily base petty cash expense and psot it
Directly report to Head of Operation & Adminstation
Support IT deparment as well
Main proper documentation of vehicle documents proper filling up all documents 
Support markrting team for brand advertisment and new ideas to attract the custoimer attention towards comopany
support all purchased center team on daily basis and solve there quires quikly
Contoll all Adminstration work on daily basis and report to Head of Admin
laising with govt Department properly and handle the offical letter and answer them( FBR , Excise, PHA , WAPDA, WASA , PTCL)colaborate with them and solve the issues.
Proper dealing with customer and dealer and listing there quires care fully and sot it out immediatly.
well Konwn how to attract the customer and deal with him.

公司标识
Assistant Manager Finance
Car First (FCG Germany GmbH)
Dec 2019 - Apr 2021 | Faisalabad, Pakistan


Maintain Petty Cash on Daily Basis and update it in SAP Accounting Software on daily basis,
Received PO,s Cheques Cash from Dealers and deposited in Company account.
Follow up of PO,s from bank on daily basis
Prepare Purchased Sale and inventory sheet on monthly basis and report to Head of FP&A.
Direct reporting to CFO and Head of FP&A.
Generate double entry of sale purchased in SAP Software.
Provide data to management and auditors on financial year audit
Prepare Cash flow statements on monthly basis.
Maintain purchased center cash flow and follow up of expense on weekly basis

公司标识
Finance Manager
HAYAT FOUNDATION (R) PAKISTAN
Jan 2017 - Aug 2019 | Faisalabad, Pakistan


He will be answerable to Sr. Manager Operation, regarding accounts activities of the department.
He will be the responsible of his department, regarding routine working.
To supervise all the matters related to accounts & finance, of the organization.
To help Sr. Manager Operation regarding forecast and consolidate total expenses for all the departments/project, on monthly basis.
To examine that all the vouchers, are arithmetically correct.
To work/coordinate with the Department Heads to prepare their detailed weekly/monthly/quarterly/annul budget and expenses.
To provide expertise to the Department Heads for their weekly/monthly expense performance vs budget.
To answer the Department’s Heads, regarding their questions related to finance and accounts.
To get prepare monthly financial reports, with the help of concern persons.
To get complete the accounts/reports, according to prescribed procedure, for further submission to concern donor/department.
To make sure that the amount being released to departments/Admins, according to prescribed procedure.
To make a strict check on the routine expenses of other districts/projects.
To recommend the appointments, leaves, ODs of his department, according to the policies and procedures of the Organization.
To monitor/check the accounts/purchase related activities for the purposes of the improvement in system.
Responsible to maintain petty-cash and related documents.
To check cash payment, bank payments, cash/bank reconciliations.
To perform as “Finance Manager” .
To perform/complete the task given by the Sr. Manager Operation/Executive Director.

公司标识
Finance Officer
Hayat Foundation
Aug 2015 - Jan 2017 | Faisalabad, Pakistan

• Strong Working on Book Keeping, Cash Payment, Bank Payment.
• Developing reports for top management.
• Monitoring budgets and comparing them with actual cost and revenues related to capital.
• Coordinating the preparation, maintenance and filing of projected P&L Account, Bills Discounting and Balance Sheet as required by bank authorities and other financial institutions.
• Coordinate the preparation of Financial Statements, Financial Reports for internal usage.
• Getting control accounts reconciled and sorting out the discrepancies
• Liaison with business related organizations such as Banks, insurance companies. Handling HBL Bank of Pakistan queries for Projects accounts matters and carrying out all correspondence with the bank
• Negotiating with the banks for easy banking requirement.
• Processing of Purchase Bills of Raw Material, Asset & Passing Bills of expenses from various departments
• Taking the training and seminar for new accounting procedure implemented by partner (UNICEF)
• Tax filling preparation Monthly, yearly
• Internal Audit ,External audit working in different project of UNICEFs
• Preparation Management Accounts
To manage finance matters with preparing regular monthly financial monitoring reports.
Ensure all internal controls are in place and efficiently complied with.
Ensure compliance with HAYAT FOUNDATION and donor’s financial & operational policies for audits & transparency purpose.
 Manage/deal the project budget and ensure its effective utilization

公司标识
Assistant Manger Internal Audit
Hayat Foundation
Jun 2013 - Jul 2015 | Faisalabad, Pakistan


Conduct Quarterly Internal audit of organization Operation ,Finance and Accounts
prepare detail report of gaps in financial transaction
Review on proper purchased process of procurement of good.
Make sure all the goods have GRN Number on proper head
Evaluate the Assets on quarterly basis
Evaluate project operation Reporting and finance & Accounts ledgers.
Review the Policy is implement properly
Find out financial frauds and any other activity and report to management
making quarterly reports and report to BOD and General Body members
Working with external Audit team of KPMG, Deloitte, Ferguson Grand Thornton, Government audit work with them on financial year audit
To manage finance matters with preparing regular monthly financial monitoring reports.
Ensure all internal controls are in place and efficiently complied with.
Ensure compliance with HAYAT FOUNDATION and donor’s financial & operational policies for audits & transparency purpose.
Manage/deal the project budget and ensure its effective utilization

公司标识
Accounts Officer
Hayat Foundation
Nov 2011 - Jun 2014 | Faisalabad, Pakistan

• To prepare/manage the account of the project.
• Responsible for payment, bank payments, cash/bank reconciliations, related to the project.
• Responsible for the payment of salaries to employees as well as to maintain their proper record.
• To update the daily expense sheet (including vehicles, fuel etc). .
• Dealing with banks regarding transactions.
• To coordinate the purchase, regarding routine/emergency purchasing as well to maintain its record.
• To check the expenditure on each sub-head/accounts/vouchers.
• To examine/ensure that all the vouchers, are arithmetically correct.
• As a primary auditor, he shall conduct pre-audit and shall apply certain procedural checks to the initial accounts vouchers.
• To assist the HR Manager regarding the implementation of policies and procedures, recruitments, to maintain the personal record of employees i.e personal files, leaves, outdoor duties, applications(all kind), disciplinary actions, explanation/warning etc, related to the project.
• Responsible to prepare/ maintain the office documents, employment agreements/lease agreement(building/vehicles etc. ).
• To ensure the proper maintenance of assets/office as well to ensure the timely purchasing/repairing.
• Facilitate the office staff regarding any problem/queries, related to finance and admin.
• To take the necessary actions regarding the security of office/employees.
• To ensure the best usage of finance.
• To prepare the finance related documents/reports according to the need of project.
• To keep/maintain proper record, related to admin & finance.
• Perform other related activities/duties according to project requirements
To manage finance matters with preparing regular monthly financial monitoring reports.
Ensure all internal controls are in place and efficiently complied with.
Ensure compliance with HAYAT FOUNDATION and donor’s financial & operational policies for audits & transparency purpose.
 Manage/deal the project budget and ensure its effective utilization

学历

Global Institute Lahore
硕士, 贸易硕士学位, Masters in Commerce‎
Accounts Financial Accounting Audit, Tax Accounting Standards
CGPA 3.1/4
2017
Institute of cost management Accountant of pakistan
证书, ACMA 3rd Stage‎
Management Accounting, Audit Assurance, Finacial Accounting
Incomplete
2017
University of the Punjab
学士, 贸易学士, Accounts & Finance‎
Accounting & Finance, Finance and Banking, Auditing
所占比重 58%
2011

技能

熟练 Minimum Graduation • Fresher’s •
熟练 Advance MS Excel Skills & Reporting
熟练 QBO
熟练 Typing Speed
中级 Chief Accountant
中级 developments
熟练 follow up
熟练 Ledger etc
熟练 Loyal
熟练 M.com
中级 perform under pressure
熟练 4 Knowledge of Taxation
熟练 AAccounting
熟练 Accounnts Management
熟练 Account Creation
熟练 Account Distribution
熟练 Account Finalization
熟练 Account Management
熟练 Account Management Skills
熟练 Accounting
熟练 Accounting Consultancy
熟练 Accounting Cycle Knowledge
熟练 Accounting Knowledge
熟练 Accounting Recruitment
熟练 Accounting Skills
熟练 Accounting Software Command
熟练 Accounting System Management
熟练 Accounting+
熟练 Accounts
熟练 Accounts / Manager
熟练 Accounts Administration
熟练 Accounts Adminstration
熟练 Accounts Consulting
熟练 Accounts Finalization
熟练 Accounts Handling
熟练 Accounts Management
熟练 Accounts Payable
熟练 Accounts Payments Handling
熟练 Accounts Production
熟练 Accounts Receivable
熟练 Accounts Receivable Software Command
熟练 Accounts Reconciliation
熟练 Accounts Relationship
熟练 Accounts Software Command
熟练 ACMA
熟练 Active Learning
熟练 Admin Task Planning
熟练 Administrative Management 
熟练 Administrative Processes Command
熟练 Advance level Excel Skills are a must

语言

熟练 乌尔都语
熟练 英语

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