A professional with 25 years of experience in the field of Finance, Accounts, Audit &
Tax in performing financial, accounting and related services for small as well as large
companies in various sectors. Possess a comprehensive knowledge of internal controls
to be implemented to reduce financial and operational risks. An enthusiastic
professional willing to take challenges, learn from and adapt to new working.
Prepare financial statements, business activity and forecasts reports.
Analyze market trends to expand profits.
Review financial reports and find ways to reduce costs.
Monitor financial details and investment activities.
Prepare and submit income tax and sales tax returns.
Prepare and filing of various Director’s related Forms to SECP.
Work collaboratively with CEO to develop and execute financing plan.
Prepare budget and review budget of all subsidiaries.Prepare companys financial statements of all subsidiaries.Preparation of companys Cash/Fund flow Statements.Check and Verify DCR, Cash/Bank book and Vouchers.Check and Verify Bank Reconciliation Statement.Check and Verify Income & Sales Tax returns.Monitoring of Daily Funds Position.Supervise and Control Payments/Disbursement through Cheque/Cash.Follow up Receivables from Debtors.Surprise and Physical stock taking and cash counting.
Check and Verify DCR, Cash/Bank book and Vouchers.Check and Verify Bank Reconciliation Statement.Check and Verify Income & Sales Tax returns.Verify List of students and Physical Assets as per books of accountsDetecting companys financial fraud and error.Drafting and implementing procedures for system of internal controls.Reporting to management about audit results of all Campuses/branches.
Prepare monthly and annual companys financial statements.Preparation of companys Payroll. Preparation and Monitoring of Daily Funds Position.Checking of Fortnight Sales Report of all Airlines.Supervise all payments Disbursement of Company through Cheque/Cash.Monitor & Reconcile Debtor/Clients and Creditor/Airlines accounts
Assist in preparation of company financial statements.Preparation of companys Payroll Preparation of companys income tax return.Preparation of bank reconciliation statement.Monitoring of Daily Funds Position.
Supervise all Disbursement of Company network Sales Branch & Shops.Preparation of companys sales tax and income tax return.Preparation of bank reconciliation statements.Assist in preparation of annual accounts.Preparation of companys Payroll Supervise & Reconcile Trade Receivable and Trade Creditors