概要

Detail-oriented individual with more than 6 years of Accounting and Finance experience looking to secure a position with an Organisation that provides opportunity for growth and development.


项目

IFRS 16 LEASES

工作经历

公司标识
Assistant Manager-Group Contracts Financial Evaluations
Pakistan Telecommunication Company Limited (PTCL)
Nov 2021 - 代表 | Islamabad, Pakistan


Participate in preparation of PSD as to ensure that strategy stands in line with the nature of procurement specified in PR and to further elaborate the budget availability, type of tender, Security deposits (performance bond, bid bond), TCO, and composite scoring formula, Technical and commercial weightage, negotiation, and award strategy.
Vetting of RFP/RFQ financial terms and conditions such as tax and duties, bid bond, performance security, period of validity, bid currency, exchange rate, delivery timelines and loading for late delivery, payment terms and loading for non-compliance with payment terms, negotiation strategy and award criteria etc.
Participate in Bid opening and ensure that neither of the bid envelopes are opened before the bid opening time. Ensuring the BoM/BoQ, checking compliance statement, verifying the bid bonds.
Commercial Evaluation of Financial proposals (NPV, IRR, PB & Ratios Analysis etc), preparation of comparative statements, price ranking, price comparison with previous contracts/market rates and commercial loading in case of bidder deviation from the PTCL payment terms and delivery timeline as to arrive at apple to apple comparison of the bidders. Provide recommendation report on the basis of findings and analysis performed.
 Highlight points of negotiations such as market rates, previous contracts prices, payment terms, and delivery timelines on the basis of our analysis. Basis of negotiation is used to enhance the bargaining power of PTCL in negotiation room for maximum possible advantageous price.
Vetting of MoM as to confirm that it reflects all the negotiation and evaluation rounds performed, reasons of eliminations and selections of the vendors, issues that arose during the evaluation, final negotiated prices and financial terms and conditions in case of any non-compliance are included and then recommend for further approval of the management. Assist in the vetting of CFA to ensure that final negotiated price stands correct, confirm budget availability and then proceed the case for further approval as per DoP.
 Vetting of draft contracts to ensure that prices are included as per the final approved financial offers of the bidders and to verify that financial terms and conditions stand in line with the PSD and RFP clauses.
Provide Support for signing of contracts by ensuring prices and terms are in line with agreed prices and terms.
Vetting of ordering sheets as to ensure that order has to be made to the lowest and contractually agreed vendors following the Frame Agreement prices under the approved budget limit.
 Providing support in the contract management such as any amendments in the contract.
Assist in providing support and financial advice to procurement department such as financial impact.
Providing support to the end-user for cost initiatives to achieve better financial result.
 Implementing cost-saving initiatives that addressed long-standing problems.

公司标识
Accountant
Intent Sports LLC USA
Mar 2021 - 代表 | Islamabad, Pakistan



Invoice processing: Receiving, reviewing, and verifying invoices from vendors or suppliers to ensure accuracy, proper authorization, and compliance with company policies and procedures.
Payment processing: Preparing and scheduling payments to vendors, which may involve issuing checks, initiating electronic transfers, or processing other payment methods.
 Vendor management: Communicating with vendors to resolve any payment-related inquiries, discrepancies, or issues. Maintaining a positive relationship with vendors to ensure smooth transactions.
 Reconciliation: Regularly reconciling accounts payable transactions and statements to ensure accuracy and identify any discrepancies or unpaid invoices.
 Amazon Reimbursement Services: This include audit of amazon seller account for identifying lost or damaged inventory, overcharged fees, or other discrepancies.
Analyzing the past sales trends and projecting the future demand based on the history of the product as well as future events.
Analyzing the products variable costs and suggesting prices that are competitive but
 generate the maximum amount of returns.
Analyzing past data and providing insights about the future planning of the business.
Identifying market trends and providing insights in a timely manner to increase ROI and avoid any possible losses.
Develop a process for the business to streamline areas like inventory planning and bring efficiency in those areas through negotiation with vendors.
Variance analysis.
Formulating Coupon Strategy.
Data Mining.

公司标识
ICAEW Trainee-Internal Audit
Pakistan Telecommunication Company Limited (PTCL)
Aug 2019 - Nov 2021 | Islamabad, Pakistan

ICAEW Trainee at Internal Audit Department.


Perform comprehensive financial, operational, and compliance audits, adhering to established audit standards and procedures.
Create detailed system documentation, utilizing narratives and flow charts, to outline processes under review and identify key risks and associated controls.
Contribute to the formulation of risk-based audit plans, ensuring that they align with identified organizational vulnerabilities.
Develop meticulous audit work papers that incorporate testing schedules, ensuring the achievement of audit objectives.
Execute assigned audit tests and steps within predetermined time frames, promptly informing the in-charge or Manager of any potential project time extensions.
Gather pertinent internal audit data using diverse methods, including interviews, financial analysis, and research activities.
Engage in constructive discussions to validate and address audit exceptions, weaknesses, and concerns identified during reviews.
Identify and assess related risks stemming from audit findings, offering actionable recommendations for corrective measures and process enhancements.
Document management's responses in connection with audit exceptions, detailing proposed actions and improvements.
Collaborate closely with team members, contributing effectively to the completion of ad hoc assignments and projects.

公司标识
Accounts Officer
Falcon Management Company
Dec 2018 - Apr 2019 | Islamabad, Pakistan


Extractng data from the accountng applicaton analyzing the required management reports on periodic basis.
Recording revenues based on the reports of POS and deposits collected at sales units.
Calculatng cost of goods sold and working to account for the inter-ccompany transactons.
Performing Bank reconciliaton Process.
Comprehensive financial reportng and analysis.
Ensuring that all the expenses are correctly accounted for in the books of accounts.
Tracking the unrecorded transactons and accountng for of the same. 
Preparaton of management reports such as P&L and Balance sheet.
Preparaton of Variance Reports.

公司标识
Finance intern
JAZZ/VEON GROUP
Sep 2018 - Dec 2018 | Islamabad, Pakistan

Implementation of IFRS 16 LEASES and considering the impact analysis of contract possess by the JAZZ subsidiary named Deodar Pvt Ltd.

公司标识
Assistant Accountant
Mohammad Faroukh Auto Spare Parts trading LLC.
Jul 2014 - Jul 2015 | Sharjah, United Arab Emirates


Posting invoices on daily basis.
Reviewing purchase invoices and tracing back to purchase order for ensuring invoices represent purchase orders.
Responsible for collection of Receivables balances.
Responsible for overtime payments and medical bills Authorization.
Responsible for Bank Reconciliation.
Undertaking Receivable age analysis in supervision of the Manager.
Setting credit limit for customers and provision for Doubtful Debts .

学历

ACCA Pakistan
证书, ACCA‎
Accounting & Finance, Advance Financial Management, Advance Audit And Assurance
Completed
2018
ACCA Pakistan
硕士, , ACCA Member‎
Accounting & Finance
所占比重 57%
2018
University of Science & Technology Bannu
硕士, 艺术硕士学位, MSc Economics‎
Economics&Statistics
所占比重 55%
2016

技能

中级 Account Receivables
熟练 Accounting
熟练 Accounting Applications Command
熟练 Accounting Command
熟练 Accounting Soft Ware Operation
熟练 Accounting System Management
熟练 Accounting+
熟练 Accounts Finialization
熟练 Accounts Handlers
熟练 Accounts Handling
熟练 Accounts Reconciliation
熟练 Admin Operations Management
熟练 Administrative Support
熟练 Advance settlements
熟练 Analytical Skills
熟练 Analytical Sciences
熟练 Analytical Skills
熟练 Answering Inquiries
中级 Audit Cycle
熟练 Auditing
熟练 Bank Reconciliation on
熟练 Beverage Formulation
熟练 Billing
熟练 Book Keeping
熟练 Bookkeeping
熟练 Budgeting
熟练 Budgets Preparation
熟练 Cash Book
熟练 clearance
熟练 Collection
熟练 Compilation of Financial Statements
熟练 Configuration Switches
中级 Conservation Awareness
熟练 Corporate Finance
初学者 Cost Accounting Tax Preparation Accounting
熟练 Credit Knowledge
熟练 CRM Database Management
熟练 Customer Care Representation
熟练 Data Distribution Analysis
熟练 Data Entry Management
熟练 Deadline-Oriented
熟练 Delivery Plans
初学者 Electrical Controls Knowledge
熟练 Email List Management
熟练 Employment Forms Processing
熟练 Filing
熟练 Final Accounts
熟练 Finance Reporting
熟练 Financial Accounting
熟练 Financial Analysis

语言

熟练 普什图语
熟练 乌尔都语
熟练 英语