Supervisory Senior - KPMG Taseer Hadi & Co.
(2024-01)
- Manage tax compliance for direct and indirect taxes, including preparation and filing of sales tax, federal excise, provincial returns, and annual corporate income tax returns, ensuring accurate input-output reconciliation and full regulatory compliance.
- Advise on tax exemptions and preferential rates under Double Taxation Agreements (DTAs), ensuring proper application and full treaty compliance.
- Manage tax assessments and regulatory matters, including drafting and submitting responses to notices (Sections 120 & 176) in a timely and accurate manner.
- Oversee tax computations, including advance tax (Section 147), payroll taxes, and employee benefit calculations (gratuity and provident fund).
MTO – Tax - Gum Corp (Pvt.) Limited
(2023-01 - 2024-12)
- Prepare and file sales tax returns with all annexures, ensuring accuracy, completeness, and full compliance with the Sales Tax Act, 1990.
- Perform input-output tax computations and reconciliations, and handle corporate income tax return filing under Section 114 in accordance with regulatory requirements.
- Prepare and maintain quarterly Section 165 withholding tax statements, ensuring timely submission and payment compliance
Digital Marketing - Intern - Syngenta Pakistan
(2019-06 - 2019-08)
- Develop and prepare promotional materials, marketing presentations, and campaign assets to support brand initiatives and drive engagement.
- Conduct market research and data analysis, leveraging insights and customer feedback to plan, execute, and optimize effective marketing campaigns.
- Manage digital marketing platforms, including websites and social media channels, ensuring consistent branding, audience engagement, and improved customer experience.
Bank operations – Intern - Sindh Bank
(2018-01 - 2018-04)
- Deliver prompt, efficient, and accurate service in processing financial transactions, including account openings and providing customers with account balance information.
- Receive and verify checks and cash deposits to savings accounts, ensuring accuracy of deposit amounts.
- Process cash withdrawals by verifying signatures and account balances for savings and checking accounts in accordance with banking policies.