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Financial Reporting & Analysis: Assist in preparing monthly management accounts, perform profitability analysis, and support financial modeling and forecasting.
Audit & Compliance: Assist in statutory audits, prepare necessary information for tax authorities, and support annual report preparation.
Management Reporting: Prepare presentations for management meetings and collaborate on performance reporting and projections.
Systems & Automation: Work with SAP consultants to enhance reporting systems and recommend improvements for process efficiency and data accuracy.
Bank Receipts & Sales Proceeds: Oversees timely recording of receipts; ensure effective coordination with treasury and banking partners to facilitate accurate and prompt reconciliation processes.
Sales Accounting & Invoicing: Supervise preparation and reconciliation of sales tax invoices; review and validate periodic sales report; manage and authorize credit /debit note adjustments in compliance with internal controls and regulatory standards.