Assistant Accounts Manager - Bestone Builders & Developers (Private) Limited - Karachi, Pakistan
(2025-06)
- Improved the accuracy of financial records by performing timely reconciliations of 30+ bank accounts, reviewing general ledgers, and resolving discrepancies before month-end closing.
- Successfully completed month-end and year-end financial closing by preparing reconciliations, journal entries, accruals, and supporting schedules.
- Managed financial operations, General Ledger, Trial Balance, and preparation of Financial Statements.
- Managed accounts receivable, accounts payable, vendor payments, and tax receivable records.
- Prepared financial reports and reconciliations using Microsoft Excel and ERP systems.
- Performed bank reconciliations, managed petty cash, and coordinated banking transactions.
Accounts & Finance Executive - ASIF RICE MILLS (ARM GROUP OF COMPANIES) - Karachi, Pakistan
(2023-04 - 2025-05)
- Coordinated internal and external audits by preparing financial documentation, reconciliations, and resolving audit queries efficiently.
- Managed accounts payable for 22+ suppliers by verifying invoices, processing payments, and performing supplier reconciliations.
- Managed end-to-end accounting operations, ensuring accurate financial records and regulatory compliance.
- Prepared monthly and annual financial statements, management reports, and maintained the General Ledger and Trial Balance.
- Managed Accounts Receivable (AR), Accounts Payable (AP), cash flow, and vendor payment cycles.
- Performed bank reconciliations, monitored cash flow, and managed petty cash operations.
Accounts Officer - ARTT BUSINESS SCHOOL - Karachi, Pakistan
(2020-12 - 2023-03)
- Processed payroll for 25+ employees with accuracy while ensuring compliance with company policies and statutory requirements.
- Managed withholding tax and sales tax workings, ensuring timely tax payments, statutory compliance, and accurate tax filings.
- Managed end-to-end accounting operations, ensuring accurate financial records and regulatory compliance.
- Prepared monthly and annual financial statements, management reports, and maintained the General Ledger and Trial Balance.
- Managed Accounts Receivable (AR), Accounts Payable (AP), cash flow, and vendor payment cycles.
- Performed bank reconciliations, monitored cash flow, and managed petty cash operations.