About Mubasher Altaf
Description
▪ Successfully manages corporate treasury, accounts payable (foreign payment), insurance and employees’ fund.
▪ Manages company cash flows, cash flow forecasting and modeling.
▪ SBP reporting and corresponding related to corporate treasury.
▪ Regulatory reporting (SECP & FBR) related to employees’ fund and corporate treasury.
▪ Ensures timely processing of foreign payments.
▪ Arranges insurance coverage for all company’s assets.
▪ Monitors and approves financial transactions in SAP FI & MM.
▪ Efficiently manages employees’ fund, provides advice on investments.
▪ Coordinate with external and internal auditors of the company and funds.
▪ Prepare annual accounts of the employees’ fund and presents an annual report to the Board of trustees.
▪ Saves a significant amount of the company`s money by effectively negotiating and closing deals with the bank on FX. rate.
▪ Prepares board resolutions and minutes of meetings of Board of Trustees and other documents timely and effectively.