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Mehmood Ansari, Manager Accounts

Mehmood Ansari

Manager Accounts·MULTIMAT INT.

Pakistan

Master's degree, Business And Finance

Work experience

Total years of experience: 16 years, 7 months

Manager Accounts

January 2017 - Present

MULTIMAT INT.

Karachi, Pakistan

January 2017 - Present

 Managing Export SBP Re-finance (ERF-I, ERF-II)
 Process documentation for renewal or enhancement for Bank financing Limits.
 Dealing with banks treasuries to negotiate rates for Export Proceeds.
 Effectively process of all trade & foreign remittances transactions.
 Process E-form & I-form request on weboc
 Process & monitoring DLTL claims on RDA cell portal as per textile policies.
 Monitor the day-to-day financial operations within the company (payroll, invoicing, and
other transactions)
 Prepare monthly and quarterly management reporting
 Manage the companys financial accounting, monitoring, and reporting systems
 Prepare and maintain cash flow analyses as needed
 Analyze monthly financial statements (balance sheet, income statement, and statement
of cash flows) and effectively convey analysis to staff as requested
 Assist in preparing year-end books for audit
 Ensure operational compliance with policies, procedures and regulations for any
necessary entities
 Process vendor payments and check requests
 Reconcile bank accounts and general ledger accounts as assigned.
 Assist in reconciling all balance sheet and income statement accounts on a
monthly/quarterly basis as indicated by the monthly closing schedule.
 Process payroll and report payroll taxes for the organization
 Perform basic office management duties as requested
 Prepare & E-Filling of Monthly Sales Tax return
 Prepare Monthly Annexure H (Faster Refund Application)
 Prepare monthly WHT statement and return
 Complete quarterly and annual tax reports
 Organize and update the company’s tax database
 Prepare necessary paperwork for tax payments and returns
 Follow industry trends and track changes related to taxes
 Prepare E-Filling Income tax returns & Wealth Statement.

Company industry:
Textile & Apparel Production
Job role:
Accounting and Auditing

Manager Accounts & Taxation

January 2017 - Present

Multimat Int.

Karachi, Pakistan

January 2017 - Present

• Monitor the day-to-day financial operations within the company (payroll, invoicing, and
other transactions)
• Prepare monthly and quarterly management reporting
• Manage the companys financial accounting, monitoring, and reporting systems
• Prepare and maintain cash flow analyses as needed
• Analyze monthly financial statements (balance sheet, income statement, and statement
of cash flows) and effectively convey analysis to staff as requested
• Assist in preparing year-end books for audit
• Ensure operational compliance with policies, procedures and regulations for any
necessary entities
• Process vendor payments and check requests
• Reconcile bank accounts and general ledger accounts as assigned.
• Assist in reconciling all balance sheet and income statement accounts on a
monthly/quarterly basis as indicated by the monthly closing schedule.
• Process payroll and report payroll taxes for the organization
• Perform basic office management duties as requested
• Prepare & E-Filling of Monthly Sales Tax return
• Prepare Monthly Annexure H (Faster Refund Application)
• Prepare monthly WHT statement and return
• Complete quarterly and annual tax reports
• Organize and update the companys tax database
• Prepare necessary paperwork for tax payments and returns
• Follow industry trends and track changes related to taxes
• Prepare Income tax returns & Wealth Statement.

Company industry:
Textile & Apparel Production

Accounts Manager

January 2013 - January 2017

Khurshid Group of Companies.

Karachi, Pakistan

January 2013 - January 2017

• Preparation of monthly Profit & Loss accounts
• Cash Reconciliation Statement I.e. Inward & Outward Statement.
• Stock Reconciliation Statement.
• Stock Inward & Outward as per PO And Allocation.
• Branch Transfer of Stock.
• Vender Reconciliation Statement.
• Client Reconciliation Statement.
• General A/c related work such as preparation of vouchers, record Keeping and
accounting transactions.
• Generating Sales Invoices.
• Client & Vender Interaction & making follow-up for Payments.
• Handling day to day Accounts in Quick Book.
• Petty Cash Management & Cash book Reconciliation.
• Making Reports as per Management Requirement.
• Follow Up with Local Bank for Banking Transaction.
• Works as Bridge with HO and Branch.
• Handling Sale Tax & Income Tax work and to work as coordinator with competent
authorities on behalf of the company.
• Prepare & finalize WHT Statement and Return
• Preparing & submission of sales tax return as per new version STRIVE.
• Legal Corresponding with FBR.

Company industry:
Mechanical Engineering

"Assistant Accounts Manager"

November 2011 - January 2013

Hajra Textiles

Karachi, Pakistan

November 2011 - January 2013

• Maintain all books of accounts & preparation of monthly Profit & Loss accounts.
• Analyzes, review, and audit overall general ledger and expense payable systems.
• Prepare and review journal and adjusting entries and account analysis.
• Monthly Reporting of Financial Statements for all divisions.
• Assist with cash receipts processing.
• Assist with weekly, standard and monthly billing.
• Perform accounts receivable functions.
• Bank reconciliation.
• Online filing monthly sales Tax return.
• Prepare and file online monthly withholding Tax statement.
• Making Sales & Payment vouchers.

Company industry:
Textile & Apparel Production

"Assistant Accountant"

December 2009 - November 2011

Danish Electronic Elevators Karachi.

Karachi, Pakistan

December 2009 - November 2011

• Account Payable.
• Account Receivable.
• Maintain Cash book and petty cash fund.
• Monthly Bank Reconciliation.
• Balance sheet Reconciliation.
• Monitoring and reconciliation of daily general ledger transactions.

Company industry:
Industrial Engineering & Automation

Education

University Of Karachi

February 2015

February 2015

Master's degree, Business And Finance

Pakistan

University of Karachi

January 2015

January 2015

Master's degree, Finance

Pakistan

University Of Karachi

January 2010

January 2010

Bachelor's degree, Accounting

Pakistan

University of Karachi

January 2010

January 2010

Bachelor's degree, Accounting

Pakistan

Board of Intermediate Karachi.

January 2008

January 2008

High school or equivalent, Accounting

Pakistan

BSE Karachi

January 2006

January 2006

High school or equivalent, Computer Science

Pakistan

Skills

Import

Expert

Export

Expert

Accounts

Expert

Finance

Expert

taxation

Expert

 Microsoft Office, Word, Excel  Peachtree / QuickBooks Accounting Software  Windows & other Softw

Expert

AUDITING

Intermediate

CASH FLOW ANALYSIS

Intermediate

DATA ANALYSIS

Intermediate

FINANCIAL ACCOUNTING

Intermediate

FINANCIAL STATEMENTS

Intermediate

INCOME STATEMENT

Intermediate

INVOICING

Intermediate

MANAGEMENT REPORTING

Intermediate

OPERATIONS

Intermediate

USER FLOWS

Intermediate

Languages

English

Intermediate

Hobbies and interests

watching T. V.
Internet surfing
Reading,