Responsibilities:
1. Maintain financial records, including transaction entries, and prepare statements and reports as mandated by management.
2. Ensure efficient cash management by monitoring banking activities and reconciling bank statements.
3. Review vendors' invoices, ensure timely recording in the system, determine floor differences, process cash requirements for wire transfer of funds to multiple vendors, and reconcile respective vendor ledgers.
4. Manage employee expense reports, review claims, and process reimbursements.
5. Verify and reconcile stock/inventory and reconcile daily.
6. Conduct financial analysis activities, such as variance analysis and cost analysis.
Bahria Town aspires to be Pakistan's greatest builder of all times, with projects offered to an eclectic mix of segments , at choice locations with world class amenities, while ensuring the highest international standards, timely delivery, and lifelong customer satisfaction. We shall grow as a company through the growth of our people sets the tone for the Company policies towards employee caring and continuous development. Our people are the most valuable asset. The billions rupee worth of machinery, vision challenging wide landscape and the best of technology are all futile unless the human passion engages all these resources towards realization of the dream. We strive hard to hire the best and retain our HR at all costs.