With a dynamic career spanning audit firm and prominent companies in Pakistan & Saudi Arabia, I have consistently advanced my expertise.
Currently excelling in a Big Four audit firm, I possess a diverse skill set honed through being lead on various assignments and engagements. This has empowered me to demonstrate adaptability, drive productivity, and come up with innovative solutions to complex challenges, consistently delivering desired results within defined parameters.

• Financial Reporting analysis and audit coordination for a Saudi PIF backed investment entity.
• Financial statements preparation, Income Statement, Balance Sheet, Cash flow and others. Analyze and review as per framework.
• Coordination with external and internal auditors.
• Working with Strategy & Risk team on Investments made.
• Monthly reconciliation of balance sheet heads to determine risk areas
and work out a way to minimize it.
• Prepare and analyze budgets, comparing actual vs budgeted costs.
• Preparing Intercompany reconciliation with all the subsidiaries as well as the parent company.
• Preparing Treasury MIS, showing bank balances, cash flows as well as the investment made by the company.
• SOP implementation, monitoring and compliance.
• Internal controls evaluation and recommending corrective plans.
• Liaising with regional teams on compliances & internal audit checks.
• End to end accounts payables – receiving invoices, complying with approvals and hierarchy for processing invoices, withholding relevant taxes, and handling payments.
• Handling all imports from the time when the shipment reaches the destination country, lesioning with bank, paying off the beneficiary and releasing the shipment when original documents are received from bank.
• Formulating bank contracts and line of credit.
• Posting all debit notes, accruals and month end provisions from parent company and other subsidiaries.
• Preparing various profit and loss heads breakup and analyzing to determine month on differences.