Engaged in Group Financial Reporting by dispensing the consolidation items to the parent company
Managing the off shore establishments in BVI and Dubai
Responsible for the total receivable cycle, ensuring the timely issuance of the estimates till invoicing and receipts.
Preparation of project estimation & costing upon request from production management.
Preparation of annual budgets and monitoring through various compliance mechanism.
Leading the payable and financial operation teams
Supervising and assisting the auditor annually.
• Reporting to CFO
• Ageing of Receivables & Payables
• Treasury Operations
• Cashflow Statements
• Budgeted Cashflows
• Monitoring Company’s International & Domestic Bank Accounts
• Dealing with Suppliers
• Taxation & E-Filing (Withholding Income tax, Sales Tax, Sindh Sales Tax)
• Preparation of Monthly Bank Reconciliation Statement
• Cash Management
• Running Finance Recovery Planning
• Making of the JV, PV & RV through customized Software
• Fixed, Variable Expenses Analysis & Projections of Liabilities
• Partial Administrative role.
• Provides whatever support is necessary to the management accountant and finance team.
• To complete and maintain sales invoices and reports
• Reports on debtors, creditors, accruals & prepayments
• Bank reconciliation, posting and balancing
• Weekly wages, petty cash and other journal posting
• Daily bank receipts postings
• Year end audit analysis
• Set up new suppliers in accounting software
• Monthly Sales Tax return preparation.