SUSTAINABLE FINANCE,FINANCIAL TECHNOLOGY,ECONOMIC TRENDS
Adept Chief Accountant with a proven track record at M/S TANVEER AHMAD PAMPORE PULWAMA -192121, enhancing financial accuracy and compliance. Excelled in financial analysis and risk management, boosting efficiency by 30%. Skilled in Excel and active listening, adept at leading teams to exceed financial objectives through strategic planning and audit coordination.
1. FINANCIAL MANAGEMENT:
* Overseeing the Preparation of financial statements,including income statements,Balance sheets and cash flow statements.
* Ensuring accuracy and compliance with accounting standards and regulations
* Managing financial controls and ensuring efficient use of resources.
2. BUDGETTING AND FORECASTING:
* Developing and managing the company's annual budget .
* Preparing financial forecasts and reports to guide strategic planning.
* Monitoring financial performance against the budget and identifying variances.
3. TAX COMPLIANCE:
* Ensuring compliance with tax laws and regulations.
* Preparing and filling tax returns accurately on time.
* Advising on tax strategies to minimize tax liabilities.
4. AUDIT COORDINATION:
* coordinating and overseeing internal and external audits
* Implementing recommendations from auditors to improve financial processes
* ensuring the integrity of financial data.
5. TEAM MANAGEMENT
* Leading and managing the accounting team .
* Ensuring high performance and productivity within the team.
6. FINANCIAL ANALYSIS:
* Conducting financial analysis to support business decisions
* Identifying trends,risks and opportunities in financial data.
* Providing insights and recommendations to senior management.
7. REPORTING:
* Preparing and presenting financial reports to senior management and stakeholders.
* Ensuring timely and accurate financial reporting.
* Communicating financial results and analysis clearly and effectively.
8. RISK MANAGEMENT:
* Identifying financial risks and developing mitigation strategies.
* Ensuring adequate internal controls to protect company assets
* Monitoring and managing liquidity and financial stability.
* Monitoring and managing liquidity and financial stability.
Besides these responsibilities,I am handling day to day accounting operations,including accounts payable,accounts receivable and payroll.
* Assisting in month-end and year-end closing processes
* Conducting bank reconciliations and managed cash flow forecasts
Visiting and inspecting sites
* In the absence of the owner of company,I look after sites,handle labors and supervise their work.
* Responsible for paying wages to labors and managing their accounts ,ensuring accurate and timely compensation and maintaining detailed records of all transactions.
Excel
READING,SPORTS (CRICKET) ,TRAVELING ,GARDENING,VOLUNTEERING
SUSTAINABLE FINANCE,FINANCIAL TECHNOLOGY,ECONOMIC TRENDS