To work in a challenging atmosphere that will allow me to develop professional, technical, and managerial skills to broaden my perspective and allow me to contribute the best of my abilities to the success of the company.Throughout my educational and professional career it's been my aim to work for a leading multinational organization as well as overseas NGO with sound working background.
• Monthly budgeting & Cash Flow Management
• Ensuring the strong financial controls and procedures are in place
• Management of tax reporting and compliance
• Reduced and controlled expenses through a strong Internal control system
• Examine daily financial transaction documentation to ensure that IR financial policies and procedures are followed.
• To ensure that the Monthly Bank & Cash Reconciliation is completed on time.
• Closing at the end of the month
• Keeping track of long-term receivables and payables
• Verifications of Fixed Assets to ensure alignment with the Fixed Assets Register
• Payroll Processing and Payments and Employee Final Settlement Processing.
• Data archiving in accordance with the IRP's financial policies.
• Sales/Income taxes are deducted from vendor/consultant/employee payments in accordance with government tax legislation.
• Meeting FBR deadlines for monthly/quarterly sales tax returns
• Weekly tax payment to the Government Treasury (or as per specified deadline by FBR)
• Assisting with tax audits by supplying reference papers, information, and so on.
• Hold tax sessions for employees and provide tax help sheet.
• Provided withholding income tax data to the CO in order to file tax returns
• Meetings with banks and regulatory authorities are held for a positive working relationship
• Assisted other departments in the preparation and management of the project's budget & Reporting.
• Worked on capacity building of new joiners by providing On Job Training on the Financial system.
• Assisted the Customers in their fund’s placement and liquidation.
• Assisted the clients in their investment portfolios including long-term and short-term investments.
• Arranged meetings with potential clients on a daily basis to communicate investment products via email, phone calls, personnel visits, etc.
• Acquiring necessary documents from customers to ensure compliance for account opening
• Guiding customers about associated risks, liquidity, and returns on investments as per policy
• Preparing quarterly reports about performances of funds and sales target achievements within geographical zones
• Recording of financial transactions in Temenos 24.
• Full function accounts payable - processing invoices and payments
• Prepare & maintain all Vendor accounts
• Preparing & maintaining all work orders
• Reconciles Accounts Receivables/ accounts payable on a weekly basis.
• Process Invoices into the Accounting software
• Petty Cash Management
• Keeping record of Vehicle maintenance, log book.