Experience:
CABI-SFPK JV
Senior Finance Executive
December 2020 - Present (1 year 11 months)
Lahore District, Punjab, Pakistan
GAAP
IFRS 16
IAS2
P&L Statement,
Balance Sheet,
Statement of Cash Flow
Owner's Equity statement
Journal Ledger Full Process
Banks, Vendor, Customer Reconciliations
Asset Management
Aging Reports
SAP Fico
Value Added Tax Returns Preparation/GST/WHT/FED
Wire Transfer
Cash Management
Petty cash
Inventory Management
Complete bookkeeping
Tax journal
Tax returns
Sales tax accounting
Income tax statement
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Advance taxes
Payables Process
Receivable Process
Stock analysis
Refund and Grant's verification
Employees payroll and finance management
Year End month End Process
And many more
Arabian Amines Company (Petro Chemical Production House)
Senior Accounts Officer
August 2011 - October 2020 (9 years 3 months)
Jubail, Saudi Arabia
Complete Cycle of accounts Payable, Accounts Receivable
Ensuring that the company’s accounting records were accurate and complete
through the maintenance of a framework of internal controls.
Explaining the intricacies of the organizations financial workings to individuals
with no knowledge of finance.
Improving the company’s accounting controls and processes to help the firm
run efficiently and effectively.
Help in Processing monthly staff related payroll and creating RTI submissions
& payslips.
Reviewed detailed analyses of fixed asset general ledger accounts and
depreciation expenditure on a monthly, quarterly and annual basis. aging
Reports, Problem Solving
Coordinated in end of month closing process to ensure all corporate deadlines
are met and information is presented in accordance with GAAP.
Performed bank reconciliations, account reconciliations between the general
ledger, subsidiary ledgers and between the general ledger and financial
statements.
Prepared monthly closing entries. Cross-checked data between the physical
documents and the system. Accrued and Prepaid Ledgers, Recurring Entries,
VAT Implant, Vat Monthly Return, Monthly With Holding Tax Return, General
Ledger: Configuring GL account master records, Chart of Account, cross
company transactions, foreign currency valuation. • Accounts Receivable:
Payment Terms, Interest Calculation, Incoming Payments, AR Information
System,
• Accounts Payable: Vendor Groups, Vendor Maser Data, House Bank, Check
Lots, Automatic Payments, Invoices, Credit Memos, Closing Procedures, AP
Information System,
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• Cost Center (Accounting, posting. Reporting)
• Budget Review, Budget Comparison,
United Auto Industries (Pvt.) Ltd.
Asst. of Commercial Manager
January 2008 - July 2011 (3 years 7 months)
Lahore, Pakistan
Accounts Receivable
Sales Tax Sales Tax Return Invoice issue & Confirmation,
Funds Chasing,
Work on liaising with banks, auditors, and legal departments.
Account reconciliations, bookkeeping, accrual accounting, budgeting
processes, and payroll.
Accurate recording of all cash activity on a daily basis.
Worked and knowledge of electronic banking systems.
Numeracy skills, credit control, updating spreadsheets, and MS Office and
Excel.
Wallstreet Exchange (Pakistan) Limited
(Front Desk )Floor Manager
August 2007 - January 2008 (6 months)
Lahore, Pakistan
I was the Floor Manager (sale Currency and remittance) at Regal Branch
Lahore, Its working were Remittance, T.T., Currency Exchange etc. Western
Union, Tele money, Cash to Cash, Express Money, union Pay etc.. saling and
buying of USD, Euro, Emirate Dirham, Saudi Riyal, Kuwaiti Dinar, Bahraini
Dinar, Omani Dinar, Chinese Yuan, Japenese Yun, GBP CAD Etc..
Weldone Corporation (Pakistan) China Office
Key Account Representative
March 2005 - August 2007 (2 years 6 months)
Guangzhou, Guangdong, China
Representative of the Pakistani buying house. Deal in buying Relation,
coordination with logistics, Expenditures, Payroll, Transactions and
Remittance, Field Audit, Shipments verification, Order Placing accordingly
requirement as per samples, funds Transfer and Tracking, Prepaid and
Accrued Expenses, etc..
Texcot International
Asistant of Finance Manager
June 1999 - February 2005 (5 years 9 months)
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Lahore, Pakistan
General Sales Tax
Bank Reconciliation, Costing, Prepare Export Documents, Followup Customer
Payments, Compile Data, All data of Bank Payment Vouchers, Bank Received
Vouchers, Journal Vouchers, Sales Vouchers, Purchase Vouchers, Bank
Statements, monthly Tax Return, month end Procedures, Tax Audit, Financial
Audit etc..
Education:
Education
Pakistan Institute of Public Finance Accountants
PIPFA, Accounting and Business/Management · (January 2021 - December
2023)
Allama Iqbal Open University
BSc (Hons), Accounting · (February 2019 - October 2022)
Al-Khair University
Bachelor of Commerce, Accounting and Finance · (2003 - 2005)
Skills:
SAP, Vlookup, Reonciliation etc..
Additionally:
have Saudi Worked Experience and Saudi Valid Driving License