Senior Accounts Executive at Pantera Energy (2025-01 – Present)
- Managed end-to-end inventory control and cash handling operations, ensuring accuracy in stock levels and daily financial transactions across north regions.
- Led accounts receivable/payable functions and treasury operations, including bank reconciliations, financing follow-ups, and confirmation calls with banking partners.
- Supervised regional financial activities for North Pakistan (Islamabad & Peshawar), maintaining strong banking relationships to support corporate financing and operational efficiency.
Accounts Executive at Pantera Energy (2022-07 – 2024-12)
- Independently manage full-cycle accounting operations for Islamabad and Peshawar branches, including cash ledger maintenance, customer receivables, payroll, vendor payments, and reconciliation using QuickBooks, Zoho, and Excel.
- Coordinate with banks, vendors, and internal departments to ensure timely payments, financing confirmations, and accurate documentation of invoices, taxes, travel, and procurement expenses.
- Prepare financial reports, dashboards, and reconciliations for managers, directors and the CEO, while handling audit-ready documentation, inventory tracking, and systemized record-keeping across multiple platforms.
Management Trainee Officer (MTO) at Pantera Energy (2022-04 – 2022-07)
- Shadowed experienced team members to understand company processes, financial workflows, and internal systems during the initial probation period.
- Learned basic functions of accounting software such as QuickBooks and Excel for entry-level tasks like voucher preparation, data reconciliation, and reporting.
- Collaborated with team leads to support cash handling, documentation, and basic account entries as part of pre-probation learning objectives.
Accounts Executive & Intern at Shift Car Studio (2021-02 – 2022-03)
Shift Car Studio is Islamabad's pioneer express automobile maintenance and car coating center.
- Managed daily showroom operations and led customer relations, sales management, and inventory control, ensuring a smooth and professional customer experience in the automotive sector.
- Performed daily cash and bank reconciliation to ensure financial accuracy
- Assisted with invoicing and financial documentation for vehicle sales and purchases
- Supported data entry, expense reporting, and reconciliation using Excel and POS systems