
- With over 10 years of experience in accounts and finance.
- Guide business strategy and leading preparation and presentation of financial statements and reports.
- Supporting organizations to reduce operational expenses, increase revenues, and affect overall financial improvement.
- Manage internal control of the company, which includes Inventory, Manufacturing, Purchasing, Accounting, Fixed Assets (Capex), Price and Costing, Direct and Indirect Taxation, Insurance, Customer-Receivable, Vendor-Payment and Payroll.
SKILLS
- Financial Reporting
- Internal Controls
- Cash Flow Management
- Policy and Procedures
- Monthly and Annual Closing
- AP, AR & GL Reconciliation
- Analytical and Ratio analysis
- Stock taking
- Payroll management
- Asset and Risk Management
- Direct & Indirect Taxation
- Planning, budgeting and forecasting
- Negotiation with suppliers and customers
- Recruiting training and motivating staff
- International financial reporting standard (IFRS)
Last Resume Update | September 12, 2019 |
Address | Karachi, Pakistan |
[email protected] | |
Phone Number | 00923362071285 |
Experience
Senior Manager Finance
A printing and packaging manufacturing company involved in production of paper board products, flexible labels and poly ethylene products.
o Financial Reporting
Prepared monthly Profit and Loss Account.
Prepared half yearly and annually statutory financial statements as per IFRS.
Financial statement analysis and interpretation.
Monthly cash flow forecasting.
Prepared annual budgets and variance analysis with actual.
Monthly and Year end reconciliation and closing.
Conducting and coordinating external audit.
o Fixed Asset Management
Managed company assets by verifying of recording of Fixed Assets taking into account,
Write-offs, Movement, Depreciation and Supervise verification of assets.
Supervising working of Addition and Disposal of Assets.
o Taxation
Sales tax input & output (annex “C”) data working and uploading to FBR portal.
Processing tax payments.
Provide working to tax consultant for exemptions u/s 153 & u/s 148.
Coordination and providing working to tax authorities on Sales and Income Tax Audit.
Prepared monthly filing of statement u/s 149 & 165 on IRIS.
Issuance of Tax Certificates to vendors.
Staff income tax calculation and working.
o Payable, Receivable and Payroll Management
Managing fund position and follow ups with customers for timely inflow.
Prepared customer balances reconciliation.
Ensure timely billing to customers.
Resolve customers’ queries about billing, payment, debit and credit notes.
Fund allocation for vendors’ payment.
Supervise timely posting of vendor bills, expenses and accruals booking.
Vendor reconciliation, issuance of debit and credit notes.
Prepared and posting of staff payroll and supervise workers’ wages disbursement.
Prepared and posting of full and final for disassociated staff.
Managing staff provident fund working and payment.
o Supervising loan, lease, LBD repayment, markup calculation & posting.
o Monthly stock taking, resolving differences and working on slow moving.
o Support all departments on ERP issues.
o Achievements:
ERP Implementation with all working and support.
Developed policies, procedures and SOPs.
Implemented Gate pass and HR modules.
Trained accountants for purposes of ensuring accounting and analysis duties is done well.
Developed Inventory controls.
Implemented Networking & CCTV setup at new plant location.
Manager Accounts
An FMCG manufacturing company involved in production of confectionery and bakery items.
o Financial Reporting
Prepared half yearly and annually statutory financial statements as per IFRS.
Financial statement analysis and interpretation.
Monthly cash flow forecasting.
Year-end reconciliation and closing.
Conducting and coordinating external audit.
Prepared periodic reports for banks.
o Fixed Asset Management
Managed company assets by verifying of recording of Fixed Assets taking into account,
Write-offs, Movement, Depreciation and Supervise verification of assets.
Supervising working of Addition and Disposal of Assets.
o Taxation
Provide working to tax consultant for exemptions u/s 153 & u/s 148.
Coordination and providing working to tax authorities on Sales and Income Tax Audit.
Supervising monthly filling of statement u/s 149 & 165.
Issuance of Tax Certificates to vendors.
Staff income tax calculation and working.
o Payable, Receivable and Payroll Management
Managing fund position and checking with customers for timely inflow.
Supervising timely posting of customer fund into system.
Fund allocation for vendors’ payment.
Supervise timely posting of vendor bills, expenses and accruals booking.
Vendor reconciliation, issuance of debit and credit notes.
Supervising staff payroll, workers’ wages disbursement and common sales team commission.
o Supervising loan, lease, repayment, markup calculation & posting.
o Supervise all staff routine tasks.
o Achievements:
ERP ORACLE Implementation
Developed chart of accounts, UATEs and data migration.
Audit Senior
o Audit planning.
o Performing substantive tests and analytical review to derive opinion on the financial statements.
o Finalization of ‘Financial Statements’ as per IFRS and Companies Ordinance 1984. Review of compliance with Corporate Governance.
o Assuring, testing and reviewing of risk assessment and internal controls, highlighting weaknesses and suggesting corrective measures there on.
o Coordinating field work and managing the audit team.
o Performed interim reviews of the clients as per the statutory requirements.
Education
MBA-Finance
Major in : Accounting, Costing, Taxation, Business Finance
MA-Economics
Major in Micro, Macro, Managerial and Financial Economics
PIPFA-Finalist
CA-Foundation
Bachelor of Commerce
Major in Accounting, Costing, Auditing, Taxation