
Syed Muhammad Mutahir Nasir
About Candidate
Senior Accountant with a proven track record in Financial Reporting, Ledger Management, and Audit coordination across diverse industries. Expert in leveraging advanced software (SAP, Tally, Oracle, Opera, VT, Wingold, Dos & Quickbook) to optimize processes and boost accuracy. Skilled team leader who combines technical prowess with mentorship to drive departmental efficiency. Transforming complex financial data into strategic insights that propel business growth.
Education
Experiences
• Monitor the day-to-day financial operations within the company (payroll, invoicing, and other transactions) • Prepare and review monthly, quarterly, and annual financial statements and reports, ensuring accuracy and compliance with accounting principles and regulations. • Analyze financial data and provide insights on financial performance, variances, and trends to support management decision-making. • Oversee and maintain the ledgers, ensuring all transactions are recorded accurately and in a timely manner. • Perform and review reconciliations of general ledger accounts, investigating and resolving discrepancies. • Assist in the preparation of budgets and forecasts, providing accurate financial data and analysis. • Supervise and mentor junior accountants, providing guidance and support. • Reviewing and submitting of VAT and CT returns.
• Maintain financial records using manual and electronic systems • Prepare journal entries, reconciliations, trial balances, and financial statements • Submit tax, workers' compensation, and pension forms to government agencies • Process accounts and payments in compliance with financial policies • Manage accounts receivable, including verifying and recording transactions • Prepare tax returns and provide personal accounting services as needed
Collaborate with Finance and Operations Managers on financial reporting for Aurusgold Group. • Generate monthly, quarterly and annual financial statements for the Group and Real Estate Brokerage. • Manage supplier, developer, and investor payments. • Draft management communications on company operations and legal matters. • Support budget analysis and improvement initiatives.
Generate monthly, quarterly, and annual management reports • Manage monthly payroll using VT Payroll and resolve related issues • Oversee tax computations and employee policy compliance • Verify financial transactions in VT cash book • Ensure timely bank reconciliations (daily, weekly, monthly)



