Unite Asset Management Ltd is seeking a detail-oriented and analytical Accountant with expertise in financial analysis and projection to join our finance team. This role requires a professional with a strong foundation in financial reporting, budgeting, forecasting, and cash flow management. The ideal candidate holds a Master’s degree or at least 16 years of education in Accounting and Finance and possesses at least three years of relevant experience. Although this position does not involve managing a team, it demands excellent individual performance, collaboration skills, and the ability to support strategic financial decisions through accurate data interpretation and modeling. The Accountant will be responsible for preparing comprehensive financial reports, developing financial models to guide business decisions, and ensuring strict financial control processes. Proficiency in Excel, financial forecasting, and data analysis is essential to performing day-to-day functions efficiently. The successful candidate will contribute to budgeting and forecasting activities, monitor cash flows, and assist in maintaining compliance with financial standards and regulations. Unite Asset Management Ltd offers a dynamic environment where this role will support business growth through superior financial insights and management.
Responsibilities

  • Prepare accurate and timely financial reports including balance sheets, income statements, and cash flow statements to support decision-making processes.
  • Develop and maintain detailed financial models that assist in business projections, investment analysis, and budget forecasting.
  • Conduct budgeting and forecasting activities, analyzing variances and trends to provide actionable insights.
  • Manage cash flow processes to ensure optimal liquidity and the availability of funds for operational needs.
  • Interpret financial data and perform data analysis to identify risks, opportunities, and deviations from financial plans.
  • Utilize Excel and other relevant tools to perform complex financial calculations, develop models, and generate reports.
  • Implement rigorous financial controlling procedures to comply with corporate policies and regulatory requirements.
  • Collaborate with other departments to gather financial information and support comprehensive financial planning.
  • Assist in the evaluation of business strategies by providing financial forecasts and scenario analyses.
  • Support internal audits and regulatory reviews by preparing required documentation and responding to inquiries.
  • Continuously update financial knowledge and skills to remain current with evolving accounting standards and industry practices.

Job Details

Total Positions:
1 Post
Job Type:
Job Location:
Gender:
No Preference
Minimum Experience:
3 Years
Apply Before:
Apr 12, 2026
Posting Date:
Mar 11, 2026

Unite Asset Management Ltd

· 1-10 employees - Lahore

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