I am a result-oriented accounting professional who brings along over 6 years of experience in the field of accounting and finance. I am well versed in leading the preparation and analysis of financial reports, budgets and forecasts while maintaining accounting goals. I have the ability to learn and implement new methodologies and procedures quickly. I have qualified all papers of CAT and ACCA in the first attempt. I have taken parts in other knowledgeable activities throughout my academic and professional period.
I demonstrate excellent interpersonal and research abilities as flexible and analytical with a keen eye for details. I can efficiently work with cross-functional teams to successfully achieve business goals. I have extensive knowledge of how companies work in different industries in Pakistan and UAE. I possess proven expertise that include, financial reporting, accounts payable and receivable, taxation, accounts management, marketing intelligence, international management, financial systems, business management, managing business projects, audit and assurance, supervision and review of financial accounting record forensically.
My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for high level executive roles. As such, I would welcome a discussion regarding opportunities with your organization that fit my background. Please feel free to contact me by phone or email.
Responsibilities:
Design and implement business strategies, plans, and procedures
Set comprehensive goals for performance and growth
Establish policies that promote company culture and vision
Oversee daily operations of the company and the work of executives (IT, Marketing, Sales, Finance, etc.)
Lead employees to encourage maximum performance and dedication
Evaluate performance by analyzing and interpreting data and metrics
Write and submit reports to the CEO on all matters of importance
Assist CEO in fundraising ventures
Participate in expansion activities (investments, acquisitions, corporate alliances, etc.)
Manage relationships with partners/vendors
Independent management of all office affairs including operations and employee matters
Ensuring professional output from the team in all areas including but not limited to timeliness, professionalism, and presentation
Taking complete responsibility and accountability related to company profits and growth
Ensuring all departments are coordinating well and SOPs are followed and reported on by them, on a monthly basis
Promoting company products and initiatives
Improving company reputation
Responsibilities:
Develop and manage annual and multi-year budgets that are adequate for the organization’s needs including the preparation of periodic budget forecasts
Prepare and maintain cash flow analyses as needed
Analyze monthly financial statements (balance sheet, income statement, and statement of cash flows) and effectively convey analysis to staff as requested
Assist in preparing year-end books for audit
Ensure operational compliance with policies, procedures, and regulations for any necessary entities
Responsibilities:
Preparing accounts and tax returns
Monitoring spending and budgets
Auditing and analyzing financial performance
Financial forecasting and risk analysis
Advising on how to reduce costs and increase profits