Experienced finance professional, with strong knowledge of book-keeping, financial accounting, and financial reporting. Excellent
track record of performing above expectation in a pressurized environment through working independently. Excellent
understanding of different off-the-shelf and in-house built accounting software for both book-keeping and management
accounting purposes
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Experience
Atlas Readymix Concrete Services
Sep 2015 – Present
Karachi
Manager Accounts
Responsible for the monthly close as well as maintenance of all accounting ledgers including monthly review of all
account reconciliations and journal entries.
- Establish the company CRM process including policies and procedures for company debtors. This includes analysing
customer historical payment and categories them into different buckets for customer identification purposes
- Responsible for providing ageing analysis of customer to senior management and follow-up with customer for any
overdue payments. Also report management on outstanding issues, whilst highlighting potential debtor problems
- Closely monitor new customers, resolve problems in relation to invoice payments, and reconciling complex month-end
accounts.
- Preparation of all financial reports, including Profit and Loss Statement, Balance Sheet, and Statement of Cash Flows, as
well as the year-end financial account.
- Provide timely explanations of variances between actual results and forecasts/budgets; provide corrective action
recommendations to management, where necessary.
- Responsible for the preparation of tax schedules and coordinate tax work papers for tax group.
- Ensure completion and review of all balance sheet reconciliations and identify and communicate findings.
- Establish policies and procedures related to Payroll and its reporting.
- Responsible for preparation of Daily Progress Report to senior management
MBE Inc Canada
Oct 2009 – Sep 2015
Karachi
Manager Accounts
Preparation of Financial Statement and submission to Canada Revenue Agency.
- HST Harmonized Sales Tax Return and Submission.
- Payroll Return (T4) and Submission to CRA.
- Corporation Tax (T2) Calculation and Submission to CRA.
- Book-Keeping and Making NTR.
- Coordination with Client and Canada Revenue Agency on behalf of Client.
- Preparing and Handling Client Portfolio and update Client Portfolio in Company Software.
- Handling In House Accounting
Bank AlHabib Limited
Nov 2008 – Apr 2009
Karachi
Officer Grade II
- Weekly statement of Position Consolidated (RCOA).
- Weekly Statement of Position Islamic (RCOA).
- Daily (RCOA).
- Weekly Position of Daily Deposits and Advances.
- Monthly Balances with Other Banks Abroad.
- Also responsible for postings in Bank Al Habib System
Education
Pakistan Institute of Public Finance Accountant
Dec 2014 – Present
Public Finance Accountant, Finance & Accounts
Institute of Cost & Management Accountant of Pakistan