概要


ACCA Member with 7+ years of experience in accounting, finance & auditing.

A highly motivated and detail-oriented professional with a strong background in accounting, finance & auditing. Possessing excellent analytical and problem-solving skills, I have a proven track record of delivering accurate and timely financial reports. I am proficient in using accounting software and have experience in managing a team of accountants. My expertise includes financial analysis, budgeting, forecasting, and tax planning. I am a quick learner and have excellent communication skills, which enable me to work effectively with clients and colleagues.

项目

ITTMS CHAMAN

工作经历

公司标识
Assistant Manager Finance
National Logistic Corporation
Jun 2020 - 代表 | Rawalpindi, Pakistan

"As the Assistant Manager Finance & Accounts at NLC, I played a pivotal role in the financial management and accounting operations of the company. My responsibilities encompassed a wide range of tasks and areas of expertise.
Financial Management:
I spearheaded the development and execution of cost-effective financial strategies that optimized the company's financial stability. This involved meticulous budget allocation and resource utilization to ensure the most efficient use of financial resources.
I was instrumental in identifying opportunities to reduce operational costs by implementing cost-saving measures. These initiatives led to substantial savings for the company, contributing to improved profitability.
Profit & Loss Budgets:
I played a central role in the preparation of the Profit & Loss (P&L) budgets. This involved collaborating closely with department heads to accurately forecast and allocate financial resources in line with the company's strategic objectives.
I meticulously analyzed historical financial data and market trends to create comprehensive P&L budgets that provided the company with a solid financial roadmap.
Regular Reviews:
I conducted regular reviews of the company's financial performance against the P&L budgets. These reviews helped in identifying variances and enabled me to recommend adjustments or corrective measures to keep the company on track.
My proactive approach to these reviews ensured that the company's financial goals remained achievable and aligned with its strategic direction.
Cash Flow Preparation:
I was responsible for the preparation of monthly, quarterly, and yearly cash flow statements. These statements were crucial for managing the company's liquidity and ensuring that financial resources were available when needed.
My attention to detail and thorough analysis allowed for the accurate forecasting of cash flows, enabling the company to make informed financial decisions and mitigate liquidity risks
Accounting and Reporting:
I diligently oversaw all accounting operations, maintaining the accuracy and integrity of the company's financial records. This included managing accounts payable, accounts receivable, and the general ledger.
I played a pivotal role in preparing and analyzing financial reports, ensuring compliance with accounting standards and regulatory requirements.
I collaborated with external auditors to facilitate smooth financial audits, and my meticulous record-keeping and reconciliation practices were instrumental in achieving audits with zero major findings.
Payments and Taxes:
I managed the complete payment cycle, ensuring that all disbursements were processed accurately and in a timely manner.
I oversaw the company's tax compliance, including the preparation and submission of tax returns, ensuring adherence to all tax regulations and requirements.
Receivable Monitoring and Aging of Receivables:
I maintained a vigilant eye on the company's accounts receivable, monitoring and managing outstanding payments from clients.
I implemented an effective aging of receivables process, allowing for a clear understanding of payment trends and helping to reduce overdue accounts.
Budgeting and Allocations:
I played an active role in the budgeting process, working with department heads to allocate resources effectively to align with the company's strategic goals.
I ensured that budget allocations were in line with the company's financial objectives, optimizing resource utilization.
General Ledgers, Trial Balance, and ERP R12:
I diligently managed the general ledger, maintaining accurate financial records and ensuring that transactions were properly recorded.
I played a key role in generating and reconciling the trial balance, ensuring that all financial data was accurate and complete.
I was proficient in using ERP R12 to streamline financial processes, enhance reporting capabilities, and improve overall financial management within the organization.
In summary, my role as Assistant Manager Finance & Accounts at NLC was marked by comprehensive oversight of payments, taxes, receivables, budgeting, allocations, general ledgers, trial balance, and ERP R12 utilization. These responsibilities were essential in maintaining the company's financial health and stability, and my dedication to accuracy and efficiency contributed to the organization's overall success.
Recoveries from Government Departments:
A notable accomplishment during my tenure was my active involvement in pursuing recoveries from government departments. I successfully navigated through bureaucratic processes to reclaim funds owed to the company. These efforts resulted in significant financial gains for NLC, enhancing our financial position.
Collaboration and Team Development:
I fostered a collaborative work environment by working closely with cross-functional teams. This collaboration enhanced the alignment of financial goals with the company's overall strategic objectives.
I took an active role in training and mentoring junior staff members, contributing to the continuous improvement of the finance and accounts team's competence.
Results and Achievements:
My dedication to identifying new revenue streams and optimizing pricing strategies contributed to a substantial increase in revenue during my tenure.
Through my efforts in pursuing recoveries from government departments, I secured substantial funds owed to the company, significantly bolstering NLC's financial position.
I successfully reduced operational costs by implementing a range of cost-saving measures, leading to improved financial efficiency and profitability.
In summary, my role as Assistant Manager Finance & Accounts at NLC was marked by a commitment to cost-effective financial management, proactive pursuit of government department recoveries, and a dedicated approach to achieving cost savings. These efforts not only ensured financial stability but also substantially improved the company's financial performance, ultimately contributing to NLC's overall success."

公司标识
Assistant Manager Finance
Askari Bank Limited
Jun 2016 - Jun 2020 | Rawalpindi, Pakistan

"As the Assistant Manager Finance & Accounts at NLC, I played a pivotal role in the financial management and accounting operations of the company. My responsibilities encompassed a wide range of tasks and areas of expertise.
Financial Management:
I spearheaded the development and execution of cost-effective financial strategies that optimized the company's financial stability. This involved meticulous budget allocation and resource utilization to ensure the most efficient use of financial resources.
I was instrumental in identifying opportunities to reduce operational costs by implementing cost-saving measures. These initiatives led to substantial savings for the company, contributing to improved profitability.
Profit & Loss Budgets:
I played a central role in the preparation of the Profit & Loss (P&L) budgets. This involved collaborating closely with department heads to accurately forecast and allocate financial resources in line with the company's strategic objectives.
I meticulously analyzed historical financial data and market trends to create comprehensive P&L budgets that provided the company with a solid financial roadmap.
Regular Reviews:
I conducted regular reviews of the company's financial performance against the P&L budgets. These reviews helped in identifying variances and enabled me to recommend adjustments or corrective measures to keep the company on track.
My proactive approach to these reviews ensured that the company's financial goals remained achievable and aligned with its strategic direction.
Cash Flow Preparation:
I was responsible for the preparation of monthly, quarterly, and yearly cash flow statements. These statements were crucial for managing the company's liquidity and ensuring that financial resources were available when needed.
My attention to detail and thorough analysis allowed for the accurate forecasting of cash flows, enabling the company to make informed financial decisions and mitigate liquidity risks
Accounting and Reporting:
I diligently oversaw all accounting operations, maintaining the accuracy and integrity of the company's financial records. This included managing accounts payable, accounts receivable, and the general ledger.
I played a pivotal role in preparing and analyzing financial reports, ensuring compliance with accounting standards and regulatory requirements.
I collaborated with external auditors to facilitate smooth financial audits, and my meticulous record-keeping and reconciliation practices were instrumental in achieving audits with zero major findings.
Payments and Taxes:
I managed the complete payment cycle, ensuring that all disbursements were processed accurately and in a timely manner.
I oversaw the company's tax compliance, including the preparation and submission of tax returns, ensuring adherence to all tax regulations and requirements.
Receivable Monitoring and Aging of Receivables:
I maintained a vigilant eye on the company's accounts receivable, monitoring and managing outstanding payments from clients.
I implemented an effective aging of receivables process, allowing for a clear understanding of payment trends and helping to reduce overdue accounts.
Budgeting and Allocations:
I played an active role in the budgeting process, working with department heads to allocate resources effectively to align with the company's strategic goals.
I ensured that budget allocations were in line with the company's financial objectives, optimizing resource utilization.
General Ledgers, Trial Balance, and ERP R12:
I diligently managed the general ledger, maintaining accurate financial records and ensuring that transactions were properly recorded.
I played a key role in generating and reconciling the trial balance, ensuring that all financial data was accurate and complete.
I was proficient in using ERP R12 to streamline financial processes, enhance reporting capabilities, and improve overall financial management within the organization.
In summary, my role as Assistant Manager Finance & Accounts at NLC was marked by comprehensive oversight of payments, taxes, receivables, budgeting, allocations, general ledgers, trial balance, and ERP R12 utilization. These responsibilities were essential in maintaining the company's financial health and stability, and my dedication to accuracy and efficiency contributed to the organization's overall success.

公司标识
Interne
SME Bank Ltd.
May 2016 - Aug 2016 | Islamabad, Pakistan

学历

ACCA (U.K.)
证书, ACCA‎
Accounting & Finance, Auditing, Tax
Completed
2016
Beacon House School System
证书, ACCA‎
Accounting & Finance, Auditing
Completed
2016

技能

熟练 Bookkeeping Knowledge
中级 Excel,PIBAS international.
中级 On job as account officer in sme bank lt
中级 Peachtree Command

语言

熟练 乌尔都语
熟练 英语
熟练 旁遮普语

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