Created and introduced updated processes for accounts receivable sub-ledger and customer attribute reporting.
Coordinated with clients to improve accounting, payroll and tax operations.
Contacted customers to immediately find resolutions for escalated issues.
Documented cash, credit, fixed assets, accrued expenses, and line of credit transactions.
Reconciled accounts and reviewed expense data, net worth, and assets.
Completed daily cash functions like account tracking, payroll and wage allocations, budgeting, donating, and cash, and banking reconciliations.
Detected and corrected mistakes early on and implemented systems to avoid recurring issues.
Conducted technical and analytical reviews of tax returns to check for accuracy and qualified deductions.
Gathered financial information, prepared documents, and closed books.
Maintained up-to-date knowledge on professional accounting standards to manage financial recordkeeping.
Improved data collection, financial analysis and financial modeling to optimize practices and retain customers.
Leveraged finance knowledge to strengthen controls and improve transparency.
Handled day-to-day accounting processes to drive financial accuracy.
Partnered with auditors to track errors and add contributions to maintain accuracy.
Evaluated and improved financial records to make important business decisions.
Assisted with budget preparation, monitoring expenses, and providing timely updates to management on variances.
Managed accounts payable and receivable functions, maintaining accurate records and timely payments to vendors while collecting outstanding invoices.
Prepared detailed cash flow analyses for management review, highlighting potential areas of concern related to liquidity issues or potential shortfalls in operating funds.
Improved financial accuracy by conducting thorough account reconciliations and adjusting journal entries.
Collaborated with external auditors during year-end audits, ensuring compliance with regulations and accurate financial reporting.
Supported month-end closing process by preparing financial statements, variance analyses, and account reconciliations.
Ensured tax compliance by preparing quarterly sales tax returns and assisting with annual income tax filings.
Assisted in the development of long-term forecasting models by analyzing historical trends and projecting future revenue growth patterns.
Education
MBA - Finance
Institute of Management, Baluchistan University
Quetta
04.2009 - 04.2012
Bachelor In Arts - Socialogy & Political Science
Baluchistan University
Quetta
05.2004 - 04.2007
Skills
Financial Management
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Accomplishments
Strategic, Financial Analysis and Ratio Analysis of Honda Company of Japan in Pakistan
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