2010-12 – 2011-12
completed
Banking & Financial Services
, Pakistan
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Data ScientistPakistan |
7 years experience |
Birthday:
Nationality:
Pakistani
10960701
2010-12 – 2011-12
completed
2017-03 – Till now
Portfolio Management of the Pan-Pakistan deposit portfolio; managing portfolio tagging, interest rate management and term deposit rate management.
Preparation of Consumer Finance Dashboards and reports.
Work With top Management to prepare Business review decks for the board and senior management.
Conduct industry competitor scans and market analysis to assist in the development of new products
Revision of SOC through conducting market and internal analysis to arrive at the optimum charges for the half year.
Prepare branch banking incentives.
Prepare optimization strategies to boost deposit and NFI growth for the retail bank.
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To register2011-12 – 2017-03
overall Company Financials through different Modules of Oracle Financials including General Ledger, Accounts Receivable, Accounts Payable and Fixed Assets Module.
Preparation of Monthly Management Accounts with key analysis from budget and industry for Management Committee.
Preparation of Company Budget in collaboration with CFO and Manager Finance.
Responsible for budget controlling and graphical presentation of variance report.
Preparation of Sales channels performance Dashboard and trend analysis graph with budget comparison.
Preparation of Sales channel KPI’s presentation.
Preparing MIS reports for Top Management.
Preparation of payroll payments and reimbursements of all the Employees.
Preparation of Daily Bank Reconciliation through Cash module of Oracle Financials.
Control GL module of Oracle financials by extracting different GL reports and creating MIS.
Monitoring/scanning of General Ledger on regular basis.
Passing adjusting and accruals entries at month end though GL module and support in Month, Quarter and Year end process.
Control A/R module and maintain receivable from Other Departments.
Withholding Tax payment and E-filing to FBR and SRB, Monthly Tax Returns Filing.
Coordination with Banks and other departments and maintained smooth operations.
Monthly E filing of regulator returns (SECP).
Daily accounts matter.
Maintained and implemented various policy and procedure of payment processing, fixed assets, debits & credit notes.
Maintaining Fixed Asset Module in Oracle Financials.
Physical verifications of Assets as and when required by the Management.
Preparation of variance analysis reports.
Making various internal control reports
Dashboard preparation of Company on Excel for Board of Directors (BOD) on every Quarter and all sorts of Presentations for BOD meetings with Top management (Chief Financial Officer & Chief Investment Officer).
Weekly Preparation of MIS Reports for Whole Company on Excel.
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Finance,Data Analyst,Business Analyst,Business Intelligence, MIS & Excel Expert.