About Muhammad Imran
-
Gender Male
-
Job Fuction Administration Finance & Accounts
-
Academic Level Master’s Degree
-
Viewed 99
About me
A seasoned accounting and auditing professional with more than 15 years of extensive exposure of working with reputed asset management, hospitality management and retail companies in the UAE and Pakistan, majorly pertaining to the planning, organization and management of various financial aspects such as financial modeling, budget & forecast analysis, month- year end closings, cash flow management, accounts receivable, accounts payable, payroll management, purchasing, procurement and international financial reporting standards. Hands-on practice in verifying revenues, trial balances, balance sheets and financial statements and driving periodic internal audits to identify non-compliance in the company’s account books. Well-versed in the integration of sophisticated accounting systems and frameworks with advanced knowledge and experience in using SAP, Oracle and Infor-Sun Accounting Package for end-to-end administration of large-scale accounting functions. Exploring challenging opportunities to work with growth-oriented companies and being a part of Management team with a strong set of competencies to achieve predefined goals.
Education
-
2006 - 2025
National University of Modern Languages- NUML Islamabad Pakistan
Masters of Business Administration (MBA)
I have earned Masters in Business Administration (Finance) with a CGPA of 3.41
-
2002 - 2005
University of Karachi
Bachelors Degree in Economics
I have passed Bachelor degree in Economics with First Division
-
2023 - 2023
Institute of Chartered Financial Analyst CFA
Chartered Financial Analyst CFA L1
I have completed CFA level L1 from the Institute of Chartered Financial Analyst (CFA)- Virginia United States
Experience
-
2024 - Present
PIA Investment Limited- PIAIL Karachi Pakistan
General Manager Finance
Key Responsibilities:
Function as a General Manager Finance with a major role in the collation, verification and reconciling of daily revenue reports, KPI analysis, financial statements, budget variation, revenue forecast and International financial reporting standards.
Responsible for monitoring, reviewing, and approving cash inflows and outflows pertaining to income tax calculation, income statement and balance sheet reconciliation.
Collaborate with corporate organizations and government offices for the collection of payments, manage bank account reconciliations and approve accrual, deferred revenue, and prepayment reconciliation.
Report the department’s routine progress to the senior management team and update stakeholders about the company’s financial standing. -
2023 - 2024
Global Office World- Karachi Pakistan
Manager Accounts & Finance
Key Responsibilities:
Function as a Manager Finance with a major role in the collation, verification and reconciling of daily revenue reports, KPI analysis, financial statements, budget variation, revenue forecast and International financial reporting standards.
Responsible for monitoring, reviewing, and approving cash inflows and outflows pertaining to income tax calculation, income statement and balance sheet reconciliation.
Collaborate with corporate organizations and government offices for the collection of payments, manage bank account reconciliations and approve accrual, deferred revenue, and prepayment reconciliation.
Oversee monthly closing of books of accounts and ensure timely preparation of reports for management review.
Report the department’s routine progress to the senior management team and update stakeholders about the company’s financial standing.Sidat Hyder ERP Implementation Manager:
Being an active key role for implementation of Sidat Hyder ERP in Global Office World, I have implemented the following modules:
Financials (Accounts Payable & General Ledger)
Supply Chain Management
Import Module
Inventory Management
Sales Force Automation & Distribution -
2018 - 2023
Mawarid Holding Investment LLC- Abu Dhabi UAE
Manager Financial Planning & Analysis
Key Responsibilities:
Function as the Manager financial planning and reporting with a major role in the collation, verification and reconciling of daily revenue reports, KPI analysis, financial statements, budget variation, revenue forecast and International financial reporting standards.
Responsible for monitoring, reviewing, and approving cash inflows and outflows pertaining to Value added Tax calculation, income statement and balance sheet reconciliation.
Ascertain appropriate application of service charges within the billing framework, review postings and handle import of entire data into the accounting system.
Collaborate with corporate organizations and government offices for the collection of payments, handle bank account reconciliations and approve accrual, deferred revenue, and prepayment reconciliation.
Oversee monthly closing of books of accounts and ensure timely preparation of reports for management review.
Report the department’s routine progress to the senior management team and update stakeholders about the company’s financial standing.
