MUHAMMAD SAQIB
Career Objective
Seeking a position in accounts & finance of a reputed challenge-oriented organization where I can apply
all my skills & expertise in contributing to the growth of the company.
Professional Experience
A.F.FERGUSON & CO. Chartered Accountants
Designated as: Accounts Officer
Period: (April 2023 to Present)
Responsibilities
➢ Maintain General Ledger & prepare Financial Statements
➢ Prepare & report PwC Operating Statements
➢ Responsible of provident fund accounting
➢ Preparing Reconciliation statements for bank
➢ Other Ad hoc tasks assigned by management
AFP – Freelancer (Part Time)
Designated as: Accounts & Finance Professional
Period: (January 2012 to Present)
Responsibilities
Provide the below services to different local and international clients
➢ Bookkeeping, accounts & Finance
➢ Internal / External Audit & Taxation
➢ Costing, Cost Analysis and Implementing cost procedure
➢ Internal Control, Policies & Procedures / SOPs
➢ Special Assignments and Accounts / Finance related projects
BIOTECH PAKISTAN
Designated as: Finance Manager
Period:
(August 2022 to March 2023)
Responsibilities
➢ Maintain General Ledger & prepare Financial Statements
➢ Management reporting
➢ Costing & Reporting
➢ Tax Management & Filling
➢ Other Ad hoc tasks assigned by management
A.F.FERGUSON & CO. Chartered Accountants
Designated as: Specialist IV
Period:
(August 2020 to August 2022)
Responsibilities
➢
➢
➢
➢
Maintain General Ledger & prepare Financial Statements
Prepare & report PwC Operating Statements Responsible of provident fund accounting
Preparing Reconciliation statements for bank
Recording of collections from customer in AX Dynamics
➢ Other Ad hoc tasks assigned by management
J&H MARBLE INDUSTRIES
Designated as: Finance Manager
Period:
(December 2014 to June 2020)
Responsibilities
➢ Maintain General Ledger & prepare Financial Statements
➢ Prepare and maintain stock summary and stock register
➢ Prepare & maintain fixed assets schedule and register
➢ Preparing Reconciliation statements for bank and inventory
➢ Maintaining cash flows / customers & vendors accounts (A/R & A/P)
➢ Prepare export documents and handle foreign remittances
➢ Preparing Cost sheets, computing & setting standard, analyzing cost,
➢ Establishing budget / projections and cost & management reporting
➢ Preparing Sales tax e-filling and tax returns
➢ Preparing special purpose reports for investment / financing decisions
➢ Preparing and implementing policies & procedures
ALMARAI COMPANY, Saudi Arab
Designated as: Accounting Technician
Period:
(November 2012 to November 2013)
Responsibilities
➢ Reconciling routes
➢ FA physical verification including wastage verification
➢ Truck audit (morning & evening)
➢ Master customer updating
➢ Cash / Petty cash management
➢ Ad hoc tasks
PAK PACIFIC CONTAINER TERMINAL PVT LTD
Designated as: Manager Accounts
Period:
(December 2009 to January 2012)
Responsibilities
➢ Prepare Financial Statements & responsible for internal/external audit
➢ Reporting to local and foreign partners
➢ Preparing W.H. Tax summary, e-filling and filling tax returns
➢ Preparing Reconciliation statements for bank and inventory
➢ Preparing Cost sheets, computing & setting standard, analyzing cost,
establishing budget / projections and cost & management reporting.
➢ Maintaining cash flows / customers & vendors accounts
➢ Preparing special purpose reports for investment / financing decisions
➢ Preparing and implementing policies & procedures
➢ Preparing special purpose reporting related to accounts & financial
MUHAMMAD & CO
Designated as: Accounts Executive
Period:
(March 2008 to December 2009)
Responsibilities
➢ Preparing Financial Statements
➢ Preparing W.H. Tax summary, Sales Tax Return summary and e-filling
➢ Maintaining Cost analysis sheets and cost reporting to management
➢ Maintaining receivable / payable accounts of customers
➢ Preparing purchase and sales analysis sheet and inventory report
➢ Work and reports on special assignments / tasks when needed
A.A BAIG & CO., CHARTERED ACCOUNTANTS
Designated as: Accounts & Audit Internee - Semi senior
Period:
(August 2006 to February 2008)
Responsibilities
➢ Vouching, TOCs, TODs, and reply during review by seniors & partners
➢ Bookkeeping and preparing financial statements
➢ Special assignments (Petty Cash verifications, provident funds accounting,
revenue and cost analysis and ratios analysis)
Education & Qualifications
Professional Qualification
Certification
Certified Management Accountant (CMA)
Public Finance Accountant (PIPFA)
Academic Qualification
Degree
Bachelor of Commerce (B.Com)
Professional Skills
Expertise & Fluency
➢ Ms Office (Proficient)
- Excel,
- Word,
- Power-point,
➢ Accounting Software
- Peach tree,
- Quickbook,
- MYOB
- Xero
➢ Complete knowledge and awareness of ERP system
Status
In progress
Certified
Status
Passed
Year
-2009
Year
2004
-
Sidat Hyder Financials
AX Dynamics
Personality Attributes
Excellence
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Written and verbal communication skills
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Responsible & Reliable
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Highly trustworthy, discreet and ethical
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Self motivated and self starter
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Fast learner and good results in less guidance
Good performance in mentally and physically demanding environment Efficiency
Detail-oriented, efficient and organized professional with extensive experience in accounting systems.
Creative Thinking
Possess strong analytical and problem solving skills, with the ability to make well thought out decisions.
Negotiating Skills
Ability to negotiate and convince.