概要

Askari Guards (Private) Limited
(A Subsidiary of Army Welfare Trust) from 1st Apr-2015 to Present

Deputy Manager Billing Recovery
Responsibilities
1. Create an efficient AR team overseeing all activity through month end closing and reporting.
2. Maintain an accurate aging report.
3. Address issues arising for all corporate clients.
4. Monitor customer account details for non-payments, delayed payments and other irregularities.
5. Review AR aging to ensure compliance.
6. Responsible for timely billing and received payments from corporate clients.
7. Workings with cross functional teams for special projects in SS CIT to ensure both business objective and time lines are met.
8. Monitor collection period of clients and ensure to minimize it as per given SOP.
9. Liaise and coordinate with operational managers and recovery team to resolve client issues.
10. Follow up/coordinate on execution regarding invoices and payments process of corporate clients.
11. Work closely with marketing/sales team for managing and executing special projects.
12. Follow up daily operations relating to client settlements, receipt and AR.

Adamjee Insurance Company Limited
(Divisional Office Islamabad) from 23rd Sep-2013 to 20th Apr-2015

Finance Officer

Responsibilities

1. Reviewing monthly/quarterly/annual trial balance together with all the schedules, divisional profitability, preparing information for budgets, Divisional/Inter branch control accounts reconciliations, Operational Vs. Financial data recons and timely submission of the same to Head Office after month end close.
2. Reviewing collection statement, premium and claim reconciliations on daily bais.
3. Follow up of receivable from customers/co-insurers and settlement of co-insurance balances.
4. Monitoring of prepayment, sundry receivables and payable
5. Collecting, analyzing and presenting financial data including competitors' analysis in a timely and efficient manner.

工作经历

公司标识
Deputy Manager Billing & Recovery
Askari Guards (Pvt.) Ltd
Apr 2015 - 代表 | Rawalpindi, Pakistan

1. Create an efficient AR team overseeing all activity through month end closing and reporting.
2. Maintain an accurate aging report.
3. Address issues arising for all corporate clients.
4. Monitor customer account details for non-payments, delayed payments and other irregularities.
5. Review AR aging to ensure compliance.
6. Responsible for timely billing and received payments from corporate clients.
7. Workings with cross functional teams for special projects in SS & CIT to ensure both business objective and time lines are met.
8. Monitor collection period of clients and ensure to minimize it as per given SOP.
9. Liaise and coordinate with operational managers and recovery team to resolve client issues.
10. Follow up/coordinate on execution regarding invoices and payments process of corporate clients.
11. Work closely with marketing/sales team for managing and executing special projects.
12. Follow up daily operations relating to client settlements, receipt and AR.

公司标识
Finance Officer
Adamjee Insurance Company Limited
Sep 2013 - Apr 2015 | Islamabad, Pakistan

1. Reviewing monthly/quarterly/annual trial balance together with all the schedules, divisional profitability, preparing information for budgets, Divisional/Inter branch control accounts reconciliations, Operational Vs. Financial data recons and timely submission of the same to Head Office after month end close.
2. Provident Fund Management
3. Reviewing collection statement, premium and claim reconciliations on daily basis.
4. Follow up of receivable from customers/co-insurers and settlement of co-insurance balances.
5. Monitoring of prepayment, sundry receivables and payable
6. Collecting, analyzing and presenting financial data including competitors’ analysis in a timely and efficient manner.
7. Ensuring compliance with Company’s rules & regulations such as HR/financial matters (Finance SOP, Gratuity, Leave encashment etc)
8. Preparation of Commission statements.

公司标识
Accounts Officer
Askari Guards (Pvt.) Ltd
Dec 2010 - Sep 2013 | Islamabad, Pakistan

1. Finalization of Accounts (Profit & Loss account, Trail Balance, Breakups of Payable and Receivables and Client wise profitability report).
2. Bank Reconciliation (disbursement and Collection accounts)
3. Check, verify, prepare and record Daily expenses vouchers.
4. Prepare / Settle the Cash for Disbursement.
5. Verify internal accounts received from the Regional Offices.
6. Monthly / Quarterly / Yearly basis provide information to management regarding the status of the clients.
7. Ensure accurate tax withholding deduction while entering data into the system.
8. Review petty cash expense reports for accuracy.
9. Checking invoices and salary sheets in time on monthly basis.
10. Preparation of budget as per given format and timely submission to Head Office.
11. Ensuring compliance to GOP Regulations and filling of all statements and returns on timely basis.
12. To ensure accounts are maintained as per Company’s SOP.
13. Updating Manager about funds position of bank accounts, recovery of receivable and to get decision about payment of due bills.
14. Assist Internal & External Auditors to conduct audit and providing required books of accounts and documents.
15. Any other task assigned in line with basic responsibilities by management.

公司标识
Management Trainee Executive
Institute of Securities, Management and Research
Feb 2010 - May 2010 | Islamabad, Pakistan

1. Use GTS Pro-UK Software for foreign trade (deal with foreign currency)
2. Technical and Fundamental Analysis for foreign currency
3. To meet the daily targets and to report to the manager.

公司标识
Accounts Officer
Capital Food Industries
Oct 2006 - Mar 2009 | Islamabad, Pakistan

1. Daily Maintain Company report.
2. Maintaining Daily Company Payments through Cheques
3. E-filing of Sales Tax monthly.
4. Bank Reconciliation.
5. Maintaining Daily Income & Expenditure Sheet.
6. Reconciliation with customers & vendors records.
7. Monitoring the application of internal audit system introduced on various stages of transactions like on purchases, payments and delivery of goods and on sales tax invoices.

学历

Riphah International University
科学硕士学位, MS Accounting & Finance‎
Accounting & Finance, Management Sciences (Accounting Finance)
CGPA 3.9/4
2018
Institute of Cost & Management Accountancy of Pakistan (ICMAP)
证书, Certified Management Accountant (CMA)‎
Accounting & Finance
Incomplete
2014
Federal Urdu University of Arts, Sciences and Technology
硕士, , MBA‎
Finance
CGPA 3.5/4
2009
Federal Urdu University of Arts, Sciences and Technology
硕士, 工商管理硕士学位, MBA - Finance‎
Accounting & Finance, Management Sciences (Accounting Finance)
CGPA 3.5/4
2009
University of the Punjab
学士, 贸易学士, B.Com‎
Accounting & Finance, Management Sciences (Accounting Finance)
所占比重 56%
2006
University of the Punjab
, B.Com‎
所占比重 55%
2006
federal board of intermediate and secondary education islamabad
中级/A级, 理学院(工程预科), F.Sc Pre-Engineering‎
Accounting & Finance, Management Sciences (Accounting Finance)
所占比重 55%
2003
federal board of intermediate and secondary education islamabad
大学入学/0级, 科学, Matric in Science‎
Accounting & Finance, Management Sciences (Accounting Finance)
所占比重 77%
2001

技能

初学者 Work In Donor Funded Projects Will Be Preferred
熟练 control and root cause
熟练 Excel
熟练 Peachtree
初学者 QuickBooks
熟练 Account
熟练 Account Management Skills
熟练 Account Receivable
熟练 Account Receivable Collection
中级 Account Software Command
熟练 Accounting
中级 Accounting Skills
熟练 Accounting Software
熟练 Accounting Softwares
熟练 Accounting System Management
熟练 Accounting+
熟练 Accounts Administration
熟练 Accounts Management
熟练 Accounts Payments Handling
熟练 Accounts Receivable
熟练 Accounts Receivable Command
熟练 Accounts Receivable Software Command
中级 Admin Operations Management
熟练 Administration Knowledge
中级 ADP Payroll
中级 Advance Excel
中级 Analytical Skills
熟练 Analytics Skills
熟练 Analyzing Data
中级 Annual Free Float Report
熟练 Aseptic Technique Knowledge
中级 Asset Management
中级 Audit Coordination
初学者 Auditing
熟练 Bank Reconciliation
熟练 Bank Reconciliation     
熟练 Bank Reconciliation on
中级 Bank Statements
熟练 Bill Payment Handling
中级 Billing Procedure Knowledge
熟练 Billing Process Knowledge
熟练 Boiler Components
中级 Bookkeeping Knowledge
熟练 Bookkiping
中级 Branch Banking
中级 Branch Support.
中级 Branchless Banking
中级 Budgeting
熟练 Business Orientation
熟练 C Problem Solving

语言

中级 旁遮普语
中级 英语
熟练 乌尔都语

Fawad 联系人

Shahid Ullah Shahid
Askari Guards (Pvt.) Ltd
Nauman Shahid
Askari Development & Holdings (Pvt.) Ltd.