I am an ACCA affiliate and hold membership with Certified Public Accountants of Pakistan (ICPAP) with three and half year experience as Accountant in a private company (Beacon Traders) and over a year experience in a fortune five hundred multi-national organization (S&PGMI) as Content Financial Analyst (Data Researcher).
- Prepare the final accounts including the Financial Statements for Corporate Clients.
- Perform reconciliations i.e Bank, Purchases etc.
- Review & Assist in preparation of Management Reports. i.e Sales Report, Budgets, Forecasts etc.
- Responsible for handling client queries.
- Timely preparation of VAT Returns to H.M.R.C (UK) & Financial/Non-financial filings to Company
House (UK).
- Allocating resources to meet the deadlines & continuous monitoring of workflow to ensure high
quality results.
- Co-ordinate & supervise team members for the allocated tasks.
- Prepare Management Reports and forecasts.
Evaluate all companies’ filings, including main financial data and prepare financial statements on predefined template for approval.
Validate and collect substantial amounts of information quickly and efficiently to ensure timely release of data essential to subscribers.
Delivering defined individual and team targets while ensuring quality and excellence.
Analysis of work performed via reporting tools which also involves self-evaluation.
Analytical skills and research abilities to effectively perform my job duties.
Supervising Quotations of Cooling/heating systems tailored to the individual client needs.
Generating Sales Invoices after rendering of services/ supply, Maintaining Ledger Accounts.
Maintain Account Receivables/Payables record up-to-date. Monitor Debtor’s age and ensuring follow ups.
Preparing reports segregated on the basis of supply to dealers and to direct clients.
Co-ordination with Store Administrator & Project Manager for cross checking quantities used.
Managing petty cash, payroll & advances to employees.
VAT inclusive Quotations/Invoices for Govt. projects.
Account for contractor’s services, verification with underlying project documentation for disbursements of payments.