Assistant Manager Finance
Zawawi Trading Company
Total des années d'expérience :8 years, 4 Mois
Perform financial analysis and create models to support budgeting, forecasting, and strategic planning
initiatives.
•Examine financial statements such as income, balance sheets, and cash flow statements to detect patterns,
variances, and performance metrics.
•Generate comprehensive financial reports, presentations, and dashboards for management and stakeholders,
emphasizing significant findings, risks, and growth prospects.
•Assess investment prospects, mergers, acquisitions, and strategic endeavors by evaluating financial viability,
risks, and potential returns.
•Track and analyze industry trends, economic indicators, and market dynamics to gauge their influence on the
company’s financial performance and future prospects.
•Collaborate with various departments like accounting, operations, and sales to collect financial data, validate
assumptions, and formulate forecasts and budgets.
•Contribute to establishing and enforcing financial policies, procedures, and controls to ensure compliance
with regulations and industry standards.
•Offer specialized analysis and assistance to management regarding specific projects, financial ventures, and
business expansion opportunities.
•Stay abreast of financial regulations, accounting norms, and industry benchmarks to uphold precision and
compliance in financial analysis and reporting.
•Leveraged financial data and BI tools to create insightful reports for senior management, enabling datadriven
decision-making.
•Supported VAT filing and Corporate Income Tax preparation, ensuring accurate and timely financial
reporting.
Overseeing all aspects of financial management, including financial planning and analysis, budgeting,
forecasting, financial reporting, and risk management.
•Conducted comprehensive analysis of financial data for corporate accounts, generating detailed reports and
providing valuable insights to support decision-making.
•Led in financial statement preparation and analysis, ensuring accuracy and compliance with accounting
principles and standards.
•Contributed to budgeting and forecasting initiatives, optimizing financial strategies and identifying areas for
improvement.
•Collaborated closely with cross-functional teams to uphold financial compliance standards and ensure
precision in reporting.
•Utilized advanced functions of MS Excel for financial modeling and analysis, improving efficiency and
accuracy in financial reporting processes.
Prepare quarterly and yearly Balance sheet.
Budget & forecasting activities
Financial Reporting
Preparation of CMA and Reports
Monthly MIS Reporting, Variance analysis, Asset accounting & its closure
Statutory compliance (Income Tax, GST etc.).
Audit handling (Statutory audit, internal audit and GST audit).
Maintaining the books of accounts up to finalization
• Preparing and filling of Income Tax returns of various individuals, firms, companies
• Handled various types of audits such as Internal audit, stock audit, statutory audit
• Income tax compliance, scrutiny and TDS
• GST return, registration, audit and compliance
Maintaining the books of accounts up to finalization
• Preparing and filling of Income Tax returns of various individuals, firms, companies
• Handled various types of audits such as Internal audit, stock audit, statutory audit
• Income tax compliance, scrutiny and TDS
• GST return, registration, audit and compliance
Handled various types of audits such as Bank Concurrent Audit, Internal Audit, Stock Audit.
CHARTERED ACCOUNTANT
POST GRADUATION DIPLOMA IN TAXATION
BACHELOR OF COMMERCE
Le lien a été supprimé pour non-respect des conditions d'utilisation. Veuillez contacter l’équipe d'assistance pour plus d'informations.