Tanveer Ahmad

[email protected] +92.315.5172860 Bhara Kahu, Islamabad, Pakistan

PROFESSIONAL SUMMARY

Dynamic CPA finance professional with 15 years of expertise in manufacturing and retail, specializing in voucher management, trial balance reconciliation, and revenue recognition. Leveraging advanced SAP and Oracle systems, I enhanced reporting accuracy by 20% and reduced record-keeping errors by 15%, driving operational excellence. As a strategic leader and mentor, I have guided cross-functional teams to implement initiatives that saved over $500K while ensuring full compliance with GAAP and SOX standards. Committed to precise budget forecasting and financial analysis, I deliver actionable insights that foster sustainable growth and empower collaborative leadership.

WORK EXPERIENCE

Assistant Manager-Finance
04/2025 - Present
Islamabad medical & Dental College / Dr. Akbar Niazi Teaching Hospital , Islamabad, Pakistan
Led accounts payable and receivable operations processing over 1,000 monthly transactions with 99% accuracy, reducing payment delays by 15% and improving vendor relationships through timely payments
Managed payroll for 150+ employees, implementing streamlined processes that ensured 100% on-time, error-free salary disbursements and enhanced employee satisfaction
Developed and implemented an automated invoicing system that decreased invoice processing time by 25%, accelerating cash flow and reducing outstanding receivables by 20%
Supervised and mentored a team of 5 finance staff, fostering skill development and improving overall departmental productivity by 18%
Collaborated cross-functionally with budget and audit teams to generate monthly financial reports, delivering actionable insights that supported budget adherence and cost control initiatives
Conducted regular ledger reconciliations, identifying and resolving discrepancies that improved financial statement accuracy by 10%, ensuring compliance with internal controls and audit standards
Updated and optimized computerized accounting systems (QuickBooks and SAP), increasing data processing efficiency by 30% and reducing manual errors, contributing to faster month-end closings
Finance Manager
02/2024 - 04/2025
Mid-West Institute of Sciences Islamabad Formally (NCS Institute of Sciences) , Islamabad, Pakistan
Led the management of accounts payable and receivable processes, ensuring 100% accuracy and reducing processing time by 20%, which improved cash flow management
Directed payroll operations for over 150 employees, achieving 100% on-time and error-free salary disbursements each month
Streamlined invoicing procedures, processing over 500 invoices monthly and reducing billing errors by 15%, enhancing client and vendor satisfaction
Implemented and maintained computerized accounting systems (QuickBooks and SAP), increasing data entry efficiency by 25% and ensuring up-to-date financial records
Prepared and analyzed monthly financial reports to support strategic decision-making, contributing to a 10% reduction in operational costs
Regularly reviewed and reconciled ledger balances, maintaining 99.9% accuracy and compliance with financial regulations
Mentored junior accounting staff, improving team productivity and accuracy through training on best practices and software utilization
Spearheaded the update and integration of accounting software, resulting in a 30% improvement in reporting speed and data reliability
Audit Executive - Night
11/2023 - 02/2024
Islamabad Marriott Hotel , Islamabad, Pakistan
Ensure that Night Audit has provided all the closed day reports generated
Review Complimentary and House Use rooms. Any discrepancy is to be brought to the Director of Finances attention
Verify Late Check Out Report and make sure Late Check Out charges are charged
Verification of Paid out / Refund / Rebate vouchers for proper approval limit, and guest signature and to be forwarded to Area Director of Finances approval
Verify all the void and altered outlet checks and ensure that a proper explanation is given
Verification of all Miscellaneous Revenue Daily
Verification of Banquet Checks to ensure that the billing is done as per event order. Copy of check to be attached. Any discrepancies to be corrected/brought to attention of the Banquet Manager
Ensure that all the revenue is posted to the assigned department codes
Make sure that the Room Rates are charged as per contracted rates
Ensure that the total of Manual Sale Summaries agrees with Trial Balance
Examine all void/altered checks whether signed by authorized person
check on registration cards, vacant room, mini-Bars and, all outlets
Prepare Owner reports including the daily business summary
Review the no show in deposit ledger and inform to FO to clear NO Show
Check sequential control of all manual checks issued on pre-numbered forms
Spot-Check banquet contracts and take proactive action to ensure that the details are correct including credit limits
Outstanding postings to guest accounts are completed
There are no discrepancies across any systems, including room status, rates and no-shows
All departmental accounts and financial information are balanced, so the date can be closed
Financial and operational reports, or the so-called night audit reports, are prepared and distribute
Non-automated or manual back-ups are performed
Managing and updating all official documentation pertaining to the role
Ensuring that all end-of-day activities have been successfully
Night Auditor
01/2022 - 11/2023
RAMADA RESORT MUREE , Islamabad, Pakistan
Ensure that Night Audit has provided all the closed day reports generated
Review Complimentary and House Use rooms. Any discrepancy is to be brought to the Director of Finances attention
Verify Late Check Out Report and make sure Late Check Out charges are charged
Verification of Paid out / Refund / Rebate vouchers for proper approval limit, and guest signature and to be forwarded to Area Director of Finances approval
Verify all the void and altered outlet checks and ensure that a proper explanation is given
Verification of all Miscellaneous Revenue Daily
Verification of Banquet Checks to ensure that the billing is done as per event order. Copy of check to be attached. Any discrepancies to be corrected/brought to attention of the Banquet Manager
Ensure that all the revenue is posted to the assigned department codes
Make sure that the Room Rates are charged as per contracted rates
Ensure that the total of Manual Sale Summaries agrees with Trial Balance
Examine all void/altered checks whether signed by authorized person
check on registration cards, vacant room, mini-Bars and, all outlets
Prepare Owner reports including the daily business summary
Review the no show in deposit ledger and inform to FO to clear NO Show
Check sequential control of all manual checks issued on pre-numbered forms
Spot-Check banquet contracts and take proactive action to ensure that the details are correct including credit limits
Outstanding postings to guest accounts are completed
There are no discrepancies across any systems, including room status, rates and no-shows
All departmental accounts and financial information are balanced, so the date can be closed
Financial and operational reports, or the so-called night audit reports, are prepared and distribute
Non-automated or manual back-ups are performed
Managing and updating all official documentation pertaining to the role
Ensuring that all end-of-day activities have been successfully
Assistant Accountant (on Contractor Bases)
01/2009 - 12/2022
Sui Northern Gas Pipelines Limited. (SNGPL) , Islamabad, Pakistan
Led accurate management of accounts payable and receivable, processing over 1,000 transactions monthly and reducing payment errors by 15%
Streamlined payroll operations for 150+ employees, ensuring 100% on-time and error-free salary disbursements
Developed and implemented an automated invoicing system that accelerated billing cycles by 20%, improving cash flow
Maintained comprehensive bookkeeping and financial data entry with zero discrepancies, supporting timely monthly financial reporting
Assistant Accountant
01/2008 - 06/2009
National Rural Support Programme (NRSP) , Rawalpindi, Pakistan
Led the preparation and computerized processing of over 1,000 vouchers monthly, ensuring 100% accuracy in maintaining books of accounts and updating procedure manuals to streamline operations
Managed cheque preparation and reconciled bank statements for multiple departments, reducing payment discrepancies by 15% and improving financial record accuracy
Processed and verified invoices, expense forms, and payment requests, supporting internal and external audits that resulted in zero compliance issues during audit cycles
Administered payroll processing for 150+ employees, preparing detailed monthly, quarterly, and annual schedules for advances and accrued expenses, enhancing payroll accuracy and timeliness

EDUCATION

Bachelors in Commerce, (B. Com)
01/2007
University of Lahore GPA: 52%

SKILLS

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