Ayaz Haider
Finance
Islamabad
Summary of Career
1. Processed Month End Closing, Booked accruals, operating & other expenses, amortization of prepayments while ensuring the reasonableness of amounts involved, against the previous trend analysis
2. Processed MIS and Ad hoc management analysis on monthly & quarterly basis, providing insightful views into the company's operations and financial performance
3. Processed reconciliation of all account codes related to statement of financial position, Statement of Comprehensive Income
4. Working capital management & analysis reporting for the issuance/receipt of invoices till the settlement of outstanding balances, including CPP, site sharing and LDI.
5. Monthly and quarterly analysis of different areas to eliminate control weaknesses & cost reduction
6. Measured and recorded CWIP transactions completely and accurately
7. Prepared monthly movement schedule for all CWIP accounts along with correct classification and reconciliation for each CWIP account
8. Ensured correct mapping of categories & useful lives in FA module, ERP
9. Reconciled the balance in fixed asset subsidiary ledger to the summary-level account in general ledger and ensure expeditious resolution of reconciling items
10. Calculated depreciation for all fixed assets and compared it with system reports and with depreciation expenses & accumulated depreciation
Experience as Finance Officer
ZONG CMPak Private Limited
01 November 2018
31 March 2019
1- Processed Month End Closing, Booked accruals, operating & other expenses, amortization of prepayments
while ensuring the reasonableness of amounts involved, against the previous trend analysis
2-Processed MIS and Ad hoc management analysis on monthly & quarterly basis, providing insightful views
into the company's operations and financial performance
3- Prepared separate Financial Statements of CMPak Ltd. and CMPak LDI monthly, quarterly, half yearly and
annual, for statutory and management reporting
4- Processed reconciliation of all account codes related to statement of financial position, Statement of
Comprehensive Income
5-Working capital management & analysis reporting for the issuance/receipt of invoices till the settlement of
outstanding balances, including CPP, site sharing and LDI.
6- Processed Site sharing settlements, CPP & MNP settlements, issuance of invoices and Liaison with Accounts
Payables Department for timely payment processing
7-Monthly Issuance of invoices concerning Site sharing, CPP & MNP Invoice issuance to OMOs.
8-Processed nationwide online Electricity Payments for newly added sites & coordination with banks &
regions for timely payments. Month end reconciliations with banks for payments processed & recording it in
General ledger
9-Monthly and quarterly analysis of different areas to eliminate control weaknesses & cost reduction
10- Liaison with other departments: for the timely provision of data required for month end closing and for
management reporting while ensuring the precision and concision through reviews
11- Processed all the Final Settlements of Franchises after the termination from Finance end
Experience as Finance Officer
ZONG CMPak Private Limited
01 December 2015
31 October 2018
1- Measured and recorded CWIP transactions completely and accurately
2- Prepared monthly movement schedule for all CWIP accounts along with correct classification and reconciliation for each CWIP account
3- Measured and recorded all additions during month by obtaining all supporting documents (Invoices from AP
team, Allocation & integration date from Technical team)
4- Ensured correct mapping of categories & useful lives in FA module, ERP
5- Measured and recorded disposals in compliance with Company’s policy for disposal
6-Prepared proposals for assets due for disposal on monthly basis
7-Coordinated with technical & IT teams to remove any Assets from FAR that are physically not available,
after obtaining the required approvals
8-Maintained fixed assets register FAR complete and update in all sections in accordance with departmental
policies and procedures and statutory requirements
9- Executed cleansing process of FAR by segregating between physically available assets with zero net book
value and disposed assets
10- Reconciled the balance in fixed asset subsidiary ledger to the summary-level account in general ledger and ensure expeditious resolution of reconciling items
11- Calculated depreciation for all fixed assets and compared it with system reports and with depreciation
expenses & accumulated depreciation
12- Prepared audit schedules relating to fixed assets, and assist the auditors in their inquiries
13- Conducted analyses related to fixed assets as requested by management
14-Any other ad hoc FA requests as indicated by management
Other 01 March 2017
I am active member of Association of Chartered Certified Accountants, ACCA