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1211-47 thorncliffe pk. dr., toronto, on m4h 1j5 / (416) 696-5756 / habibullah_1962@hotmail.com
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work experience
managed accounts departments and all financial, corporate and tax matters
responsible for cash flow, rotation and cash management to generate maximum earnings
from idle/excess funds
performed financial planning, prepared budgets, fixed standards and analyzed estimates with actual
results
arranged loans and leasing of facilities and coordinated/liaised with financial institutions
prepared, implemented and monitored company policies
monitored import activities related to billets (raw-materials) and wire rods (finished goods) by local
traders/users, especially quantities and c&f price for setting-up of asg’s future production and market
strategies so enabling asg to hold its market-share in the steel market
brought customs matters to relevant ministries for fixation of import valuation or revision in customs
duty/regulatory duty
also acted as company secretary for abbas steel group and was fully responsible for:
board of directors meetings and shareholders’ annual general and extra-ordinary general meetings
compliance of filing requirements under the companies ordinance 1984
maintenance of minutes books of meetings of directors and shareholders
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habibullah khokhar / (416) 696-5756 / habibullah_1962@hotmail.com page 2
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supervision of accounts, provident fund departments, reconciliations of inter-company and hotels’ current
accounts and coordination with external auditors
imported equipment for hotels under various concessionary notifications and liaised with ministry of
tourism, ministry of industries & production, central board of revenue, board of investment and collector
of customs. prepared and maintained records of hotels’ equipment imported under duty exemption
scheme for inspection by the assistant collector customs.
responsible for supervision of accounts department and preparation of monthly, half-yearly and annual
accounts of the company
checked and compared publication of half-yearly and annual accounts as required by companies
ordinance 1984 and listing regulations of the stock exchanges
circulated of annual report to the shareholders and stock exchanges
coordinated and reconciled transactions between head office and plant
conducted physical stock-taking of stores & spares and reconciliations with general ledger
liaised with external auditors, tax department, controllers general prices, stock exchanges and corporate
law authority
education