Summary

As an accomplished accounts professional with a keen eye for detail and a passion for financial accuracy, I excel in
financial analysis, budgeting, and compliance. My proficiency in QuickBooks, SAP, and Excel enables me to
streamline financial operations effectively. I am dedicated to contributing to organizational success while continually
advancing my expertise.


Experience

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Assistant Manager Accounts
Parkview City, Lahore
Jan 2022 - Present | Lahore, Pakistan

Financial Reconciliation: Conduct monthly bank reconciliations and reconcile customer and vendor statements toensure the accuracy and integrity of financial data.Payment Processing: Oversee the preparation and processing of payments for vendors and customers, ensuring timelyand accurate financial transactions.Payroll Management: Prepare and manage the monthly payroll for all staff, including salaried and wage-earningemployees, ensuring compliance with company policies and labor regulations.Management Reporting: Generate comprehensive management reports on a weekly, monthly, quarterly, and annualbasis, providing key insights and analysis to support strategic decision-making.Cash Management: Prepare detailed cash reconciliation statements and daily cash reports, monitoring financial activitiesand ensuring proper cash flow management.Expense Reporting: Compile and maintain monthly expense reports, tracking expenditures and ensuring adherence tobudgetary constraints.Financial Statement Assistance: Collaborate with accountants and financial professionals to create and edit financialstatements, ensuring accuracy, compliance, and timely completion.

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Assistant Manager Accounts:
Uniworth Dress Co. - December
Aug 2016 - Dec 2021 | Lahore, Pakistan

Client Relationship Management: Assist the Accounts Manager in managing client relationships and overseeing accounts.Financial Transactions: Coordinate and process financial transactions, including invoices and payments, ensuring accuracyand timeliness.Account Reconciliation: Reconcile accounts, identify discrepancies, and resolve issues promptly.Financial Record Maintenance: Maintain accurate and up-to-date financial records and reports.Cross-functional collaboration: Collaborate with cross-functional teams to achieve business objectives.Team Support: Provide support and guidance to junior team members.

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Senior Executive Finance
Texlynx Home
Nov 2013 - Aug 2016 | Lahore, Pakistan

Cash Flow and Financial Transactions Management: Managed cash flow, bank payments, journal vouchers, andsales vouchers to ensure accurate financial transactions.
Banking Operations and Financial Integrity: Handled daily and weekly banking activities, petty cash management,supplier payments, and invoice generation, ensuring financial integrity. Accounting Software and Financial Records: Posted vouchers into customized accounting software, maintainingaccurate financial records.
Bank Reconciliation and Payroll Management: Reconciled bank statements and prepared monthly payroll andstaff salaries to ensure timely and accurate payments.
Management Reporting: Produced comprehensive management reports on a weekly, monthly, quarterly, andannual basis, covering payables and receivables.
Internal Audits and Compliance: Conducted internal audits to ensure compliance with financial regulations andcompany policies.

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Senior Executive Finance
Uniworth Dress Co.
Jan 2010 - Oct 2013 | Lahore, Pakistan

Production and Account Management: Served as the lead point of contact for all production and accountmanagement matters.
Financial Consolidation: Appropriated and consolidated Profit & Loss Account and Balance Sheet every month.
Reconciliations and Cash Management: Managed bank and vendor reconciliation statements monthly; handled pettycash and daily dispatch reports.
Payroll and ERP Management: Prepared daily wages sheets in Excel and ERP; generated Daily Production Reports inERP.
Batch Balance and Payment Allocation: Approved IRs and TRs, prepared Batch Balance Summary, and allocatedweekly payments and slips for all units.
Daily Reporting: Reported daily on the induction and issuance of product units by each department.
Transaction Management: Managed cash, bank payments, journal vouchers, and sales vouchers; performed daily andweekly banking, petty cash management, supplier payments, and invoice raising; reconciled bank statements andprepared monthly payroll/staff salaries; produced comprehensive management reports on payables and receivables.

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Executive Accounts & Finance
Abdul Khaliq & Co. (Charted Accountant)
Jan 2009 - Dec 2009 | Lahore, Pakistan

Financial Record Keeping: Maintain accurate and up-to-date financial records, including journal entries, ledgers, and financial statements.Bank and Account Reconciliation: Perform regular reconciliations of bank statements and client accounts to ensure accuracy and resolve discrepancies.Invoicing and Payments: Manage the preparation and processing of invoices and payments, ensuring timely and accurate transactions.Audit Support: Assist in the preparation and execution of internal and external audits, ensuring compliance with accounting standards and regulations.Management Reporting: Prepare detailed financial reports and summaries for management review, providing insights into financial performance and trends.Client Communication: Act as a point of contact for clients, addressing inquiries and providing support related to accounting and financial matters.

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Quality & Store Supervisor
Metaline Industries (Pvt) Ltd.
Mar 2006 - Dec 2008 | Lahore, Pakistan

Inventory Management: Supervise and manage inventory levels, ensuring accurate stock records and timelyreplenishment of supplies.
Quality Control: Oversee quality control processes to ensure products meet established standards and specifications.
Inspection and Testing: Conduct regular inspections and testing of incoming materials and finished products to verifyquality and compliance.
Documentation and Reporting: Maintain detailed records of quality inspections, test results, and inventory levels,and prepare regular reports for management.
Team Supervision: Lead and supervise store and quality control staff, providing training and guidance to ensureefficient and accurate operations.
Supplier Coordination:
Coordinate with suppliers to address quality issues, manage returns, and ensure timelydelivery of materials.
Process Improvement: Identify and implement process improvements to enhance product quality, streamlineinventory management, and increase overall efficiency.

Education

Punjab College of Commerce (PCC)
Bachelors, Bachelors in Commerce, ‎
Accounting & Finance
2008

Skills

Expert Accounting Software Proficiency
Expert Accounts Production
Expert Accounts Receivable Command
Expert Accounts Reconciliation
Expert Accounts Software Command
Expert Balance Reconciliation
Expert Bank Reconciliation on
Expert Cash Flow Management
Expert Cashflow Analysis
Expert Expert Level Use Of MS Office Tools
Intermediate Financial Accounting
Intermediate Financial Statement Analysis
Expert Funds Management Skills
Expert General Ledger
Intermediate Iris Fbr Portal Experience
Expert Journal Entries
Expert Key Account Management
Expert Ms Excel
Expert Network Security Administration
Beginner Oracle
Expert Payment Management
Expert Quick Book
Expert Reconciliation
Expert SAP ERP
Expert Social Welfare Management
Intermediate Tax Management
Intermediate Warranty Quality Assurance Process

Languages

Expert Urdu