Summary

A high performing individual, demonstrating drive, enthusiasm and initiative,
with the ability to work well under pressure, consistently delivering quickly and
accurately and able to priorities to ensure deadlines are met whilst maintaining a
high standard of analysis and insight and looking forward to playing a vital role
in financial decision-making and adding significant value to a business.

Projects

Net Cash flow and Liquidity Ratio influence on the Dividend Policy

Experience

Company Logo
Asst. Manager Finance
SSH Telecom (SMC) Pvt. Ltd
Jan 2020 - Present | Karachi, Pakistan


Managing daily cash/bank balances & ensuring that cash flows are adequate to allow business units to operate effectively.
Coordinate and resolve various issues with bank such as cleared check differences, bank fee anomalies, Calculations of Markup and enhancements to online services.
Prepare and process payments of vendors/supplier or expenditure after verification of invoices.
Prepare Raw Material Movement Report, Finish and Semi Finish Goods Movement Report
Prepare Landed Cost of Raw Material and Production Costing
Reconciliation of Customer, Vendor and Bank Accounts.
Prepare Payroll of Staff
Provides monthly financial and management reports.

Company Logo
Manager Accounts
Paracha International Exchange (Pvt.) Ltd
Jan 2017 - Dec 2019 | Karachi, Pakistan


Finalization of Accounts
Analysis of Company Profitability and Remittance business periodically. Suggestion& Recommendation for improvement.
Analysis of Branches Business Performance and Control Expenses.
Monitoring & Reconciliation of Banks, Inter-branch &Inter-Franchise Accounts.
Coordinate with Tax consultant for Tax Return and Tax Query (i.e. Withholding Tax Return & Withholding Tax Audit)
Review Payroll of Branches and Head Office.
Implement State Bank of Pakistan (SBP) rules & Regulation in Company. Coordinate with policy department for policy making and software engineer to implement checks as per SBP rules and regulation.
Participation in decision making with board of Directors
Coordinate with HR Department regarding new hiring and interview.

Company Logo
Asst. Manager Finance
Greif Flexibles Pakistan (Pvt.) Ltd – Karachi (MNC)
Aug 2014 - Dec 2016 | Karachi, Pakistan

• Prepares and records asset, liability, revenue, and expenses entries by compiling and analyzing account information.
• Managing daily cash/bank balances & ensuring that cash flows are adequate to allow business units to operate effectively.
• Forecasting cash payments and anticipating challenges arising from limited cash flow.
• Coordinate and resolve various issues with bank such as cleared check differences, bank fee anomalies, targeted balance calculations and enhancements to online services.
• Prepare and process payments of vendors/supplier or expenditure.
• Deposit and record payment of Customer & follow up on invoices.
• Reconciliation of Customer, Vendor and Bank Accounts.
• Provides monthly financial and management reports.
• Prepare landed cost of import raw material.
• Work closely with the Finance Manager to ensure smooth operation of all finance matters & Suggest changes or improvements to increase accuracy, efficiency, and cost reductions.

Company Logo
Accountant
Pakmaco (Pvt.) Ltd
Jul 2013 - Jun 2014 | Karachi, Pakistan

• Prepares and records asset, liability, revenue, and expenses entries by compiling and analyzing account information.
• Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
• Maintains general ledger by transferring subsidiary accounts; preparing a trial balance; reconciling entries.
• Summarizes financial status by collecting information; preparing balance sheet, profit and loss, and other statements.
• E Tax filling of Sales Tax, Withholding Tax, Income Tax and Wealth Statement.
• Finalization of Accounts

Company Logo
Compliance Office & Data Reporting Officer
Paracha International Exchange Pvt.Ltd.
Sep 2011 - Jun 2013 | Karachi, Pakistan

• Works under the guidance of senior management to ensure that the employees adhere the rules and regulations of SBP
• Maintain all records, documents for compliance
• Communicate with staff to ensure compliance enquiries and responding to the same
• Evaluate all forms, reports and data collection regarding inward, outward remittances and Forex Buying Selling.
• Collaborate with IT department regarding policies and procedures of SBP and company.
• Ensure that employees abide financial accounting and reporting rules.
• Assist to Head of Compliance for compliance in respect of SBP instruction & guidelines
• Checking all transactions Forex buying & Selling, Inward and Outward.
• Develop, document, implement and maintain a comprehensive internal audit plan.
• Identify, assess, and evaluate Audit the branches, franchises and payment booths in accordance with the Exchange Company policy and SBP guidelines.
• Examine financial transactions for accuracy and compliance with Exchange company policies and other applicable laws and regulations.
• Evaluate financial and operational procedures Exchange company risk and make recommendations for improve internal control and accounting procedures.
• Identifying pertinent points of SBP Exchange Company rules which can assist the operating staff in producing accurate and reliable financial reporting.
• Prepare necessary reports for the Board of Directors.
• Respond to internal audit inquiries from the Board, Chief Executive and Senior Management.
• Determine compliance with policies and procedure.
• Analyzing and providing data information to the concerns and top management for taking appropriate business decisions.
• Submitting Daily, Weekly and Monthly Return in respect of Foreign Currency inward/outward remittance.
• Responsible to control the company exposure & rate of Foreign Currency buying and selling
• Responsible for settlement of Franchise and Payment Booth Accounts (Receivables & Payables)

Education

Iqra University
Masters, Masters in Business Administration, ‎
Finance
CGPA 3.1/4
2016
University of Karachi
Bachelors, Bachelors in Commerce, Bachelors of Commerce‎
Commerce
2010
Government College Of Commerce And Economics Karachi (Via : BIEK)
Intermediate/A-Level, , ‎
Commerce
Percentage 70%
2008
Lassi Community School (Via : BSEK)
Matriculation/O-Level, , ‎
Commerce
2006

Skills

Expert 3 Years of experience in Finance Department .
Beginner QuickBooks
Expert bank related matters
Expert Compliance
Expert English Composition
Expert Excellent Verbal and Written Communication
Expert General accounting
Expert Income tax return & ERP
Expert LETTER WRITING
Beginner 4 Knowledge of Taxation
Expert AAccounting
Expert Ability to identify and research Target Markets
Expert Ability To Work To Deadlines
Expert Accounnts Management
Expert Account Payable
Expert Account Software
Expert Accounting Applications Command
Expert Accounting Consultancy
Expert Accounting Principles
Expert Accounting Processes
Expert Accounting Programs
Expert Accounting Software Command
Expert Accounting Software Managment
Expert Accounting Sofware
Expert Accounting+
Expert Accounts
Expert Accounts Administration
Expert Accounts & Finance
Intermediate Accounts / Manager
Expert Accounts Acquisition
Expert Accounts Adminstration
Expert Accounts and Finance
Expert Accounts Coordination
Expert Accounts Finalizing
Expert Accounts Finialization
Expert Accounts Handlers
Expert Accounts Management
Expert Accounts Management Skllis
Expert Accounts Payable
Expert Accounts Payments Handling
Expert Accounts Production
Expert Accounts Reconciliation
Expert Accounts Software Command
Expert Accountspayable
Expert Accoutning
Expert Active Listening
Expert Active Reports
Expert Admin Analysis
Intermediate Admin Assistantce
Expert Admirative Assistance

Languages

Expert Urdu
Intermediate English