Detail-oriented Account Manager with expertise in financial reporting and compliance. Generates accurate financial statements and analyses to support strategic decision-making. Drives operational excellence through meticulous account reconciliations and management of cash flow.
Overview
2
2
Languages
5
5
years of professional experience
Work History
Account Manager
SA&Sco. Properties
Kharian Gujrat, Pakistan
02.2023 - Current
Reconciled monthly bank statements and resolved discrepancies.
Posted journal and ledger entries, prepared financial statements and reports and closed books.
Generated financial statements documenting revenue, expenses and liabilities.
Assisted in the preparation of tax returns and ensured compliance with all relevant tax legislation.
Monitored accounts payable and receivables to calculate expenses and revenue.
Updated general, sales and purchasing ledgers on schedule and verified information against documentation.
Prepared detailed monthly financial reports, including balance sheets and profit and loss statements, for senior management review.
Accountant
Maze&Associates
Norwich, United States, United States
05.2024 - 03.2026
Reconciled monthly bank statements and resolved discrepancies.
Managed financial accounts, reconciling bank statements and monitoring cash flow to maintain accurate records.
Managed accounts payable and receivable, ensuring timely settlement of invoices and maximising cash flow.
Produced monthly and year-end closing statements, financial documents and invoices.
Updated general, sales and purchasing ledgers on schedule and verified information against documentation.
Completed detailed reviews of accounts and bookkeeping records to verify compliance with standards.
Coordinated month-end and year-end close processes, ensuring accurate and timely financial reporting.
Accountant / Accounts Assistant / Finance Officer
Pakeeza Commercial kitchens/Iqbal Engineering
Lahore
08.2022 - 12.2022
Account reconciliation
Bookkeeping
Finance
Costing
Monitoring Transactions
Bank Reconciliation
MS Office
Handled day to day accounting process to drive financial accuracy
Gathered financial information, prepared documents and closed books