I am a dynamic and results-oriented professional with a successful career in B.I, accounting, finance, audit, taxation, import/export operations, reports’ evaluation, and client relations in a fast-paced setting. Hands-on experience and track record of accomplishments in managing the company finances. Instrumental in carrying out tax planning in accordance with the international standards. Expertise in risk assessment, documentation, and reporting along with deploying enhancement measures to maximize efficiency for optimum productivity, while meeting business objectives and vision. I am well-versed in identifying deficiencies in the system through internal control memorandum to rectify the control weaknesses. I am proficient in robust financial reporting and developing various financial plans.
My key skills include Accounting & Finance, Accounts Payable & Receivable, Forecasting/Budgeting, Cash/Vendor Management, Financial Management/Analysis, Import Export Documentation, Training and Development, Customer Relations, Financial Statement Analysis, Taxation, Business Analysis, BI (Business intelligence) and Microsoft Office.
Currently I am engaged with Geoscience Associates, as a Senior Manager Accounts & Finance, where I handled the evolving challenges associated with automation of book keeping system to an advanced excel-based spreadsheet system, which integrally involved re-structuring of entire department processes. Also look after for BI for the Entire system.
Attached is my CV which showcases my progressive experience and successful track record for leading successful initiatives. My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for executive roles. As such, I would welcome a discussion regarding opportunities with your organization that fit my background.
Manager Sales / Partner
Looking after for sales and marketing.
Key role:
Ø Exploring new business,
Ø Interaction with local and foreign clients
Ø Sales promotion
Ø Attend Business meeting
Ø Strategic thinking
Other key Role
ü Accounting & Finance
ü Accounts Payable & Receivable
ü Forecasting/Budgeting
ü Cash/Vendor Management
ü Financial Management/Analysis
ü Financial Statement Analysis
ü Accounts finalization
ü Sales promotion
ü Import Export Documentation
ü Interaction with foreign clients
ü Training and Development
ü Customer Relations
ü Strategic thinking.
ü Business Analysis
ü Freight & Forwarding
ü Custom calculation
ü Taxation
ü Business Communication
ü Letter writing
ü Documents controlling
ü Team work
Organize and submit budget/forecasts exercise within timelines; monitor budget accuracy and deliver explanation on deviation from plan to aid management in planning; made financial business plan to know performance. Function in close coordination with banks and handle all banking matters like T.T, L.Cs, and Loan & Markups etc. Exercise hands-on approach and internal control managing books of accounts, such as general ledger accounts, and document business transactions. Render keen eye for details to maintain documentation/certificate and gather data for E-Filling on FBR, PRA, SBR, and KPRA monthly/annually. Develop multiple documents and processes including payroll entries, review budget, revenue, expense, invoices, and other accounting documents. Key Accomplishments: ⢠Expertly handled the evolving challenges associated with automation of book keeping system to an advanced excel-based spreadsheet system, which integrally involved re-structuring of entire department processes. ⢠Built collaborative rapport with external auditor in completing yearly audits and conducted internal audit for the company to analyze the accounting system and takes correct measurements to improve the system. ⢠Controlled monthly expenditures, produced and delivered expenditure reports to management, documented financial process, and invoices, also finalized Annual Profit & Loss with Balance Sheet. ⢠Carried-out Account Receivable (Aging Report) and keenly focused on Uncollectible, prepared profit and loss statements and monthly closing and cost accounting reports.
• Performed accounting duties, including preparing analyses, compiling and reviewing information for periodic accounting reports, posting general entries, monthly reconciliations and accounting documents.
• Revised financial information and highlighted business’s performance on a periodic basis to prepare entries to accounts, such as general ledger accounts, and document business transactions.
• Maintained computerized cash and bank on daily basis reconciliation, developed profit and loss statements and monthly closing and cost accounting reports and maintained cashbook.
• Efficaciously prepared, examined, and analyzed accounting records and reports to assess accuracy, completeness, and conformance to reporting and procedural standards.
• Updated books of accounts, generated student fee challan form, handled cash and make schedule of monthly salary and added cashbook entries both in computer and book.