概要

A devoted professional with a versatile profile consisting of academic and professional qualification with extensive experience acquired in technical areas of Accounts & Finance, Corporate reporting, Taxation, and Financial analysis. Possess excellent interpersonal skills and enjoys being part of a productive team. Self-motivated and thrives in challenging working environments.

项目

Ability of Combination of Cash flow ratios to Predict Financial Distress

工作经历

公司标识
Executive Manager
Opal Business Advisory
Aug 2022 - 代表 | Islamabad, Pakistan

公司标识
Manager Finance & Administration
Oxbridge Digital Marketing Pvt. Ltd
Jun 2019 - Apr 2022 | Islamabad, Pakistan


·Supervising all of the company's financial matters and working as a head of the department.
·Leading,  managing,  planning,  directing,  and controlling all aspects of accounts payable, accounts receivable, and cash control.
·Overseeing the management of profitability,  sales and cos,  finance,  growth,  proper cash handling, and risk management.
·Responsible for accuracy and security of company funds including bank deposits and internal cash funds.
·Responsible as directed for the development,  implementation,  and achievement of budgetary goals.
·Ensuring that sufficient funds are available to meet ongoing operational and capital investment requirements
·Reporting to management on variances from the established budget, and the reasons for those variances.
·Communicate the progress of monthly/quarterly initiatives to internal and external stakeholders.
·Assisting the management in the formulation of its overall strategic direction.
·Providing all analysis to explain monthly profit and loss variances to the directors.
·Liaising with the external auditor in the preparation of the annual report.

公司标识
Consultant - Business Advisory Services
Ernst & Young Fordes Rhodes Chartered Accountants (EY)
Apr 2018 - Dec 2018 | Islamabad, Pakistan


Reviewing the organization’s business processes.
Evaluating the efficacy of risk management procedures that are currently in place.
Skeptical approach to identify fraud and theft of the organization’s assets.
Ensuring that the organization is complying with relevant laws and statutes (IFRS).
Detailed testing of controls designed and implemented by client’s management to assess the operating effectiveness of the controls and to identify possible control exceptions.
Making recommendations on how to improve internal controls and governance processes.
Preparation of Internal audit reports.

Key Assignments:

Murree Brewery Company Limited
Directorate of Education Schools Quetta
PITE Baluchistan
MNCH Balochistan
Directorate of Social Welfare & Special Education Baluchistan
Planning & Development Department Baluchistan
Baluchistan Rural Support Programme (BRSP)
Directorate of Health Department Baluchistan
Nutrition Cell Department Baluchistan

公司标识
Senior Officer (Finance)
Pakistan Oilfields Limited
Jun 2017 - May 2018 | Rawalpindi, Pakistan


Allocation of all costs to the correct locations (fields) and cost centers in the booking process and alignment of the GL codes with the activities assigned to them. The costs allocation includes the different supplier & contractor’s bill, miscellaneous bills or different claims of the employees.
Maintaining Fixed assets register including additions and deletions of the assets along with the depreciation including the tagging and physical verification of assets at different fields including Joint ventures.
Making payments to the contractors/vendors of their invoices and reimbursements of different claims of employees & withholding all the necessary taxes from the contractors/vendors and paying to the FBR along with submission of tax returns.
Supplier review & ageing Analysis of vendors on monthly basis.
Preparing costing reports on daily basis of the Oil wells which are currently in drilling stage and reporting it to the Fields-Finance Manager and Head Office also on daily basis.
Reconciliation of the Oil wells costing reports with the actual reports generated from Trial Balance at the end of each month.
Bank reconciliation of different bank accounts held by the company in using spread sheets and in ERP Financial – Oracle and reporting it to Fields-Finance Manager & Head Office.
Stocktaking of the inventory on monthly basis.
Reporting on the variances of the different Account Heads with the budget and reporting it to the Head Office.
Entries of all the necessary provisions before the closing period.
Maintaining all the record of POL Hospital (Company’s Hospital) and preparing its financial reports on monthly/quarterly basis.
Any other duties or tasks assigned by the department head.

公司标识
Ass. Accounts Officer
Northwest General Hospital and Research Center (NWGH)
May 2016 - May 2017 | Peshawar, Pakistan


Maintaining the Fixed Assets Register including additions and write off and to ensure Inventory control & physical verification of Fixed Assets & stocks.
Managing Payables of vendors & receipts from the patients with properly checking & verification of GRNs/Invoices and daily reconciliation of Cash/bank receipts in the ERP with the physical cash/bank balance with proper posting of Bank/cash Payment Vouchers & Cash/bank receipt vouchers and Issuance of Payments to parties against supply (Cheques, Pay Orders etc.)
Preparing Tax Challans, making & submitting monthly returns to FBR & KPRA (Khyber PukhtunKhwa Revenue Authority) & dealing with all the queries of the vendors related to Sales Tax. (E-Filing of Tax returns)
Preparing “Month end Consumption” reports by Pharmacy & Main Store Department with posting the necessary journal vouchers & adjustments.
To Closely monitors all financial activities, and keep the reporting authority informed of all situations which have the potential for a negative impact on internal controls or financial performance
Maintain all the Petty cash of the Hospital and issuing payments of Petty Cash expenses
To conduct quarterly stock takes of Main Pharmacy, Pharmacy Trolleys, and Main Store.
To conduct crossed checking of entire consumption of stock with Ledger.
Preparation of monthly Sales Tax reports for electronic filing of sales tax returns
Bank reconciliations on a monthly basis and posting of the adjustments in ledger.

学历

ACCA (UK)
证书, Association of Chartered Certified Accountants (ACCA)‎
Accounting & Finance, Corporate Reporting, Financial Analysis, Auditing & Taxation
Incomplete
2019
Institute of Management Sciences
硕士, MSc, MSc. Finance‎
Finance
CGPA 3.7/4
2017
ACCA (U.K)
大专, Advanced diploma in Accounting and Business‎
Accounting & Finance, Strategic Financial Management, Auditing, Taxation
Completed
2013
Abdul Wali Khan University Mardan
学士, 艺术学士, B.A‎
Arts
2013
ACCA (U.K.)
证书, Certified Accounting Technician (CAT)‎
Accounting & Finance
Completed
2011
Excelsior College Swat
中级/A级, 理工系(医学预科), F.Sc Pre-medical‎
Biological Sciences
所占比重 74%
2009
Excelsior College Swat
大学入学/0级, 科学, Matric in Science‎
Biology, Chemistry, Physics
所占比重 85%
2007

技能

中级 4 Knowledge of Taxation
初学者 AAccounting
熟练 Accounnts Management
熟练 Bank Reconciliation     
中级 Corporate Tax Filings
初学者 External Audit
初学者 Financial Statement Analysis+
中级 Fixed Asset Amortization
中级 Handling Assignments
中级 IFRS
中级 International Standards Auditing
熟练 Japanese and Korean Language Proficiency
中级 Oracle E-Business Suite
初学者 Payroll Processing
中级 Social Welfare Management
初学者 Tax Preparation Skills
初学者 Voucher Management
熟练 Warranty Quality Assurance Process
熟练 تخصيص المركبات
初学者 تسوية المدفوعات

语言

熟练 普什图语
熟练 乌尔都语
熟练 英语