FARHAN AHMED
S/o MUHAMMAD SULTAN (LATE)
R-1577/15 DASTAGIR SOCIETY F.B AREA
KARACHI
Tell# RESIDENCE-
Cell#-
E-mail-
OBJECTIVE
Seek to perform challenging tasks to apply acquired skills and make tangible contribution to the
financial and business objectives of the organization.
CERTIFICATION
CERTIFICATE
CA-Foundation
CA-Intermediate
INSTITUTION
ICAP
ICAP
STATUS (PASSED/SESSION)
September 2007
September 2012
PROFESSIONAL QUALIFICATION
QUALIFICATION
B-COM-I
B-COM-II
INSTITUTION
University of Karachi
University of Karachi
YEAR-
DIVISION
1st
1st
ACADEMIC QUALIFICATION
QUALIFICATIN
Intermediate
Matriculation
INSTITUTION
Govt. Dehli College
Students Academy School
BOARD
Karachi
Karachi
YEAR-
GRADE
B
A-one
ROFESSIONAL EXPERIENCE
Certified in Accounting and Finance and CA Finalist from Institute of Chartered Accountants of Pakistan
having completed my articleship from a Chartered Accountants Firm S.M. Suhail & Co Chartered
Accountants and currently Assistant Manager Audit in the firm. I have five years of experience of
successfully performing various Audit, Internal Audit, other Special Audits, Reconciliation, Financial
advisory and consultancy and other Accountancy assignments in a leading position and as a team player
for various clients in various industries. Seeking to perform challenging tasks to apply acquired skills to
make tangible contribution to the financial and business objectives of the organization.
Nature of Assignments which I have performed and the clients for which I have performed them
includes;
Statutory Audit Assignment (as required by International standards for Audit and Assurance
Engagements and laws and regulation).
Performed External / Statutory Audit assignments of various clients of our firm which involved
examining the financial statements of clients and performing risk assessment procedures,
analytical procedures, test of details of financial transactions on test basis to ascertain whether
the financial statements prepared by the clients gives true and fair view.
Financial Accounting and Financial Reporting.
Prepared financial accounts for different clients on Single entry basis from bank statements and
cash books through recognizing, classifying, and presenting different transactions under
different heads and then preparing financial statements and reports based on these
transactions and preparing reconciliation statements.
Accountancy, Book keeping, Financial Moduling design and implementation, GL Software
implementation and ERP implementation, implementing financial controls.
Inventory Management Assignment
Review and Examination of client's inventory control system and detection of shortfalls through
reconciliation of inventory register with physical inventory
Profit Participation Fund Accounting and Auditing in compliance with Sindh Workers
Profit Participation Fund Act 2015 and WPPF Rule 1971.
Preparation of Net Capital Balance Certificate for Brokerage houses as required by
Securities and Exchange Commission of Pakistan –SECP
Prepared Business Plans and Projected Financial forecasts for five years for clients
which includes;