Minhas أحمد, Vice President Finance & Accounts

Minhas أحمد

Vice President Finance & Accounts

Alfalah CLSA Securities (Private) Limited (Subsidiary of Bank Alfalah Limited)

البلد
باكستان - كراتشي
التعليم
ماجستير, Finance
الخبرات
22 years, 4 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :22 years, 4 أشهر

Vice President Finance & Accounts في Alfalah CLSA Securities (Private) Limited (Subsidiary of Bank Alfalah Limited)
  • باكستان - كراتشي
  • أشغل هذه الوظيفة منذ أكتوبر 2015

- Finalization of Financial Statements, Profit and Loss Accounts, Balance Sheet and Notes to the Accounts

- Preparation of Branch Profit and Loss Accounts and Provident Fund Accounts

- Responsible for annual audit at year end and resolving the queries raised by the auditors

- Review and finalization of monthly and annual payroll system and staff salaries taxation

- Supervision of all accruals bills, expense invoices and review of related documents as per requirements regarding the purchase of fixed assets, monthly adjustments and recording of advances and prepayments

- Accounting of depreciation expense, salaries, leave encashment, provident fund, gratuity fund, staff loan/advances

- Monthly adjustments and recording of advances and prepayments

- Responsible for the reconciliation/supervision of all accounting entries pertaining to dividend, TFC profit, investment banking, research subscription, money market, forex income

- Supervision and finalization of deduction of GST / with-holding tax for salaries and other payments including submission of statements to CBR through E-Statements

- Preparation of various reports on MS Excel as required by the management on time to time basis as well as for monthly reporting to management

- Assisting I.T. department in preparation / development of new software regarding financial & operational related issues and payroll.

Senior Manager Accounts في Foundation Securities (Private) Limited, (Member of Pakistan Stock Exchange Limited)
  • باكستان - كراتشي
  • يناير 2006 إلى أكتوبر 2015

- Finalization of Financial Statements, Profit & Loss Accounts, Balance Sheet and Notes to the Accounts

- Preparation of Branch Profit & Loss Accounts and Provident Fund Accounts

- Responsible for annual audit at year end and resolving the queries raised by the auditors

- Review & finalization of monthly / annual payroll system and staff salaries taxation

- Review of GL and Sub Ledgers vouchers prior to posting on daily basis

- Supervision of all accruals bills, expense invoices and review of related documents as per requirements regarding the purchase of fixed assets, monthly adjustments and recording of advances and prepayments

- Accounting of depreciation expense, salaries, leave encashment, provident fund, gratuity fund, staff loan / advances

- Checking of bank reconciliation statements and supervise all the accounting adjustments in this respect

- Monthly checking and review of petty cash journal vouchers, adjustments and branch wise accounting

- Responsible for the reconciliation/supervision of all accounting entries pertaining to dividend income, investment banking income, out of pocket expenses and other receivables

- Supervision and finalization of deduction of GST / with-holding tax for salaries and other payments including submission of statements to CBR through E-Statements

- Preparation of various reports on MS Excel as required by the management on time to time basis as well as for monthly reporting to management

- Assisting I.T. department in preparation of new software regarding accounts & finance and payroll. (already worked during switching of company database from SQL to Oracle)

Assistant Accounts Manager في KASB Securities Limited, (Member of Karachi Stock Exchange Limited)
  • باكستان - كراتشي
  • فبراير 2002 إلى ديسمبر 2005

- Preparation of Financial Statements, Profit & Loss Accounts, Balance Sheet and Notes to the Accounts

- Review of GL and Sub Ledgers vouchers prior to posting on daily basis

- Checking of bank reconciliation statements and supervise all the accounting adjustments in this respect

- Supervision of all accruals bills, expense invoices and review of related documents as per requirements of ISO-2002 regarding the purchase of fixed assets

- Monthly adjustments and recording of advances and prepayments

- Accounting of depreciation expense, salaries, leave encashment, leave fare allowance, provident fund, staff loan/advances

- Monthly checking and review of petty cash journal vouchers, adjustments and department wise accounting

- Responsible for the reconciliation/supervision of all accounting entries pertaining to dividend, TFC profit, investment banking, research subscription, money market, forex income

- Reconciliation of all receipts and payments and preparation of debit & credit notes pertains to branches

- Responsible for resolving the queries raised during the annual audit as well as audit of ISO-2002

- Maintaining of proper recording and deduction of with-holding tax for salaries and other payments including preparation of tax chalans

- Preparation of various reports on MS Excel as required by the management on time to time as well as for monthly reporting to management

الخلفية التعليمية

ماجستير, Finance
  • في Karachi University
  • نوفمبر 1999
بكالوريوس, Commerce
  • في Karachi University
  • مايو 1993
الثانوية العامة أو ما يعادلها, Pre-Engineering
  • في Government Shipowner's Collage
  • مايو 1991

Specialties & Skills

Microsoft Excel
Microsoft Office
Accounting
Staff Supervision
Year End Close
MS Excel
MS Word
Power Point

اللغات

الانجليزية
متوسط