SHAHID ISMAIL
House No. A-271 Sector 15 A-2, Gulzar a Hijri Scheme 33,Karachi
Skype: Shahid Ismail
PROFESSIONAL OVERVIEW
An Accountancy and Finance graduate with a strong desire to offer a wide range of skills. Well versed
inall accountancy functions and adaptable to differing environments, with a natural ability to meet and
exceed deadlines and targets.
WORK EXPERIENCE
September2017 till WESTERN SILK MILLS – HEAD OF ACCOUNTS
Present
Currently working as Head of Accounts in Western Silk Mills
Responsibilities are
Initiated and Implemented Overhaul of Company’s Accounting System and
conversion to complete Computerization.
Recruits and Hires Accounting and Financial staff and conducts Performance Evaluation
Manages the Accounting Staff who are responsible for Financial Reporting,
Billing, collections, Payroll, and Budget preparation.
Overseeing the Daily Operations of the Accounting Department.
Implement and Manage Accounting Control systems.
Prepare Company for External Audit
May 2015 July
Pak Pacific Container Terminal (Pvt.) Ltd. - ASSISTANT MANAGER
2017
ACCOUNTS
I had worked as an Assistant Manager Accounts in the Finance department of
Pak Pacific Container Terminal office at Lahore.
I had responsible for managing Overall Accounting assignments.
A brief of major responsibilities includes:
Prepare monthly MIS reporting for Finance Manager.
Monitoring revenue and expenses
Report Daily Financial Position to Manager Accounts.
Book keeping and updating records on daily and weekly basis including ledgers
Follow up of outstanding Customers Invoices
Maintain Bank reconciliation Statement.
Internal Bank funds transfer according to daily requirement.
Handling in Petty Cash and Banking operations
January 2012 April The Port Land System – ACCOUNTANT
2015
I have worked as an Accountant in The Port Land System Company reporting directly to the CFO
My responsibilities included:
Managed accounts payable, accounts receivable, and payroll.
Monitored and recorded company expenses.
Managed Client accounts, (billings and collections)
Maintain Bank reconciliation Statement.
Avoiding outstanding expenses and maintaining petty cash.
November 2010
December 2011
Artfin Accountants – ACCOUNTING TRAINEE
I joined ArtiFin Accountants Consultancy Firm-London as a trainee Accountant in 2010.
I have worked on Various Tax & Accounts Assignment.
My responsibilities included:
Expense Vouching.
Processing and recording on behalf of clients.
Recording receipts and payments on behalf of clients.
Preparing and checking ledger balances
February 2002
May 2010
Star Enterprises (Pvt.) Limited – ASSISTANT ACCOUNT
I have joined Star Enterprises as an Assistant Account.
My responsibilities include:
Preparing sales invoices & upkeep of an accurate accounts filing system.
Filling of Payment, Receipt and Journal vouchers.
Bank reconciliation, posting and balancing
Delivering files and documents to customers and vendor.
Debtor and Creditor reconciliation
Maintenance of Voucher files & Bank files.
Fixed Asset accounting, reconciliation and Depreciation Journals
PROFESSIONAL QUALIFICATION AND ACADEMIC
Qualifications
Chartered Accountant
Year/ Status
2017 (3 Papers
to Qualify)
Institution
Association of Chartered Certified
Accountants (UK)
Public Finance
Accountant
2007
Pakistan Institute of Public Finance
Accountants
Bachelor of Commerce
2001
University of Karachi, St Patrics Govt
College
CAREER ACHIEVEMENTS
Implemented successfully Climax Container software at Pak Pacific Container Terminal
at Lahore facility.
COMPUTER LITERACY
Computerized accounting systems. i.e. Sage, Iris Payroll.
Advanced MS Office, particularly Excel, PowerPoint, Word and Outlook.
Tally, Gnu Cash, Peachtree, QuickBooks. Xero.
Climax Container Software.
REFERENCES
Available upon request.