Experienced Senior Accountant with knack for streamlining financial processes and improving accuracy.
Accounting professional versed in internal controls, taxation and business accounting practices. Focused on helping improve financial solvency with optimised systems and accurate forecasting. Diligent about auditing records and maintaining compliance standards.
Overview
18
18
years of professional experience
4
4
years of post-secondary education
Work history
Senior Accountant
Imdad Engineering and Contracting LLC
international city Dubai , United Arab Emirates
03.2017 - Current
Led team of junior accountants; ensured high quality work output.
Prepare and file VAT returns in accordance with FTA regulations to avoiding penalties and late fees.
Reduced discrepancies in financial statements through meticulous record keeping.
Streamlined payroll system resulting in timely and accurate salary payouts.
Performed monthly reconciliation of bank statements; eliminated monetary discrepancies.
Manage bank deposits and conduct monthly bank reconciliations
Administer payroll, including employee final settlements, insurances, Job Offer Letter
Oversee accounts payable and receivable, ensuring timely payment processing
Manage petty cash activities and prepare summaries for General Ledger postings using QuickBooks
Improved financial accuracy by implementing rigorous auditing processes.
Ensured transparency in company finances with regular report generation.
Collaborate with suppliers for subcontractor agreements and procurement processes
Hiring of Manpower Supply, Machineries, Equipment's & Tools to fulfill projects needs
Employees Medical & WC Insurance, Projects General Insurance
Trained new hires on company's accounting procedures; fostered knowledge sharing environment.
Facilitated smooth audits by maintaining organized and accurate records.
Liaised effectively with external auditors for seamless audit execution.
Compiled general ledger entries on short schedule with 100% accuracy.
Trained new employees on accounting principles and company procedures.
Conducted regular reviews and official audits to validate recordkeeping and controls.
Produced accurate tax returns complying with official requirements and serving client needs for minimising liabilities.
Assistant Manager Accounts
Unique Homes
Lahore, Pakistan
10.2011 - 01.2017
Maintained comprehensive project records, including contracts and agreements.
Conducted bank reconciliations, managing supplier and Subcontractors accounts.
Assisted in financial report preparation and variance analysis.
Managed petty cash and office supply expenses.
Collaborated with site supervisors for effective financial management.
Supported external auditors for timely audits and compliance.
Provided support during audit process; ensured adherence to compliance standards throughout the department.
Assistant Manager Accounts
Sayban International
Lahore, Pakistan
07.2010 - 09.2011
Handled remittances and cash management from regional offices for bank deposits.
Prepared monthly bank reconciliation statements and analyzed sales and expenses.
Assisted in the preparation of MIS reports for management oversight.
Ensured compliance in regional petty cash management.
Handling the accounts receivable.
Conducted team meetings on a regular basis, promoting open communication within the team.
Provided support to manager during audits, ensuring accurate reports.
Coordinated with management on operational issues providing solutions for better efficiency.
Developed strong relationships with suppliers, ensuring timely delivery of products.
Monitored sales performance regularly adjusting strategies as required.
Streamlined store operations with efficient scheduling.
Created a positive work environment, resulting in higher employee morale.
Handled customer complaints effectively, restoring trust in our brand.
Assisted in recruitment process to build an effective workforce.
Led and managed administrative staff to maintain smooth daily operations.
Handling the accounts payable.
Accountant
Sayban International
Lahore, Pakistan
03.2007 - 06.2010
Handled complex account reconciliations; ensured consistency in records.
Conducted financial audits for improved internal controls.
Completed detailed profit and loss analysis; identified improvement areas.
Managed bank deposits, bookkeeping, and Bank reconciliation tasks.
Posted financial transactions into the Oracle Accounting Software and conducted physical stock audits.
Reconciled customer ledgers and monitored sales team expenses.
Optimised financial performance by monitoring key indicators.
Generated accurate financial reports using advanced software tools.
Site Manager / Site in Charge at House Engineering contracting LLC/House Advance EngineeringSite Manager / Site in Charge at House Engineering contracting LLC/House Advance Engineering