ACCA
Address. House #2, Street #1-A,Peer Jamshad colony, Dr Qadir Road, Rawalpindi,
Islamabad
Phone: 0333 9111169
E-mail: kterriq@gmail.com
Academi
cs
MSc Finance
From: University of East London, England – 2008
BA(HONs) Finance
From: University of East London, England - 2007
Professio
nal
Courses ICAEW The Institute of Chartered Accountant
& in England and Wales
Research (Finalist)
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ACCA Association of Certified Chartered
Accountant
England- 2006
Skills
Quick Books-Pro 2003 and SAP related modules
Development of Marketing Plans
Sales Promotions
Corporate Sales
Financial Reconciliations (bank, sales ledger, purchase
ledger).
Financial Budget
Business Management
Taxation and Insurance
Business Communication
Decision Making
Leadership
Project Management
Microsoft Office (Word, Excel, PowerPoint)
Professional Record
Responsibilities / Tasks
• Handling financial consolidations and expense reporting for the division (for whole
UK)
• Managing cash surplus by investments
• Managing and developing team of 10 members
• Assisting in the coordination and preparation of the weekly, quarterly and annual
budget for the division
• Analyzing and explaining expense and revenue variations branch by branch and
division as whole
• Developing cost and product center allocations and methodologies for financial
statement reporting
• Ensuring internal accounting controls are properly developed/followed
• Working with senior management on specific projects
Analysis of Financial feasibility, total cost allocation, break even analysis and
estimation of capital expenditures
• Use of SAP modules for hedging (Money Market Hedge- against US $ parent local
currency)
• Conduct training and workshops with operational managers for proper accounting
treatment
• Reporting to Manager Accounts and assisting him in achieving company’s objectives
Responsibilities / Tasks
• Ensure timely and accurate closing of General Ledger and preparation of relevant
financial reports under UK GAAP
• Prepare journals, debit and credit notes, inter‐company billing and ensure accuracy
and completeness of data entries and adherence to accounting standards.
• Perform bank reconciliations on a timely basis and ensure correct bank balances are
reflected in accounting books.
• Work closely with other Finance team members and advise on proper coding of
transactions.
• Perform inter‐company reconciliation and resolve any outstanding issues.
• Prepare tax analysis/Planning for tax agents
• Prepare and maintain fixed asset register
• Ensure proper recording and filing of documents are maintained
• Assists in other ad‐hoc assignments
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3. Accounts Executive – Chimera (Pvt.) Ltd. Pakistan
I joined the Chimera group of companies in January 2003 as an accounts executive and
worked there till December 2003. Chimera group of companies were the sole distributer
of Nokia and Samsung handsets in Pakistan.
References
References can be provided on demand.
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