8 Plant Accounting jobs in Pakistan
Manager Accounting & Financial Reporting
Posted 15 days ago
Job Viewed
Job Description
Job Locations: Karachi, Pakistan
Functional Department: Accounts & Finance
Type: Regular, Full-Time
Working hours: 3:00 pm - 12:00 am PK time (afternoon shift)
Vision: Building World Class Technologists
Mission: Optimize Workforce Readiness & Personalize Training Using AI To Meet Goals & Objectives
In The News:
- Moneta Ventures and Sattar Ventures to invest $2M into QuickStart
- Acquired UniTek
- Launched Bootcamps in partnership with Texas A&M
- Introduced Cognitive Learning and its relationship with Online Education
At QuickStart, we are committed to upholding the following core values:
P assion | R espect | A ccountability | I nnovation | S peed | E xecution ( PRAISE )
Overview : QuickStart is a Cognitive Learning Management company disrupting the way IT training is delivered, focusing on high-impact, personalized, and customized learning experiences through our flagship platform CLIPP. QuickStart is a Microsoft Gold Partner providing IT training to Fortune 5000 clients in areas such as App Dev, DevOps, Information Security, Cloud Computing, and Data Science. If you are eager to join a team that aims to revolutionize training delivery, retention, and implementation, we want to hear from you.
Responsibilities , include but are not limited to:
- Managing US Accounting in accordance with US GAAP and preparing financial analyses, KPIs, and cost reports.
- Managing cash flow and weekly payment plans.
- Preparing monthly and quarterly financial reports.
- Preparing Management Business Review (MBR) and Quarterly Business Review (QBR) reports for the Board and department heads.
- Ensuring accurate and timely monthly financial closes.
- Performing annual business insurance renewal processes.
- Managing US payroll.
- Managing PK accounting and payroll.
- Assisting in annual US financial audits with external auditors.
- Assisting in annual US 401(k) audits with external auditors.
- Assisting in annual Worker Compensation audits with external auditors.
- Handling Carta for tracking company stocks.
- Conducting variance analysis of profit & loss for the current month versus prior month.
- Conducting variance analysis of profit & loss between actuals and plans.
- Assisting the Head of Department in annual budget preparation.
- Establishing and driving Accounts Payable (AP) strategy.
Minimum Qualifications :
Education and Experience
- Accounting certification (ACCA, CMA).
- 5+ years of experience in financial reporting, management reporting, bank reconciliation, Microsoft Excel, and PowerPoint.
Manager Accounting & Financial Reporting
Posted 15 days ago
Job Viewed
Job Description
Karachi, Pakistan Functional Department:
Accounts & Finance Type:
Regular, Full-Time Working hours:
3:00 pm - 12:00 am PK time (afternoon shift) Vision:
Building World Class Technologists Mission:
Optimize Workforce Readiness & Personalize Training Using AI To Meet Goals & Objectives In The News: Moneta Ventures and Sattar Ventures to invest $2M into QuickStart Acquired UniTek Launched Bootcamps in partnership with Texas A&M Introduced Cognitive Learning and its relationship with Online Education At QuickStart, we are committed to upholding the following core values: P assion |
R espect |
A ccountability |
I nnovation |
S peed |
E xecution (
PRAISE
) Overview : QuickStart is a Cognitive Learning Management company disrupting the way IT training is delivered, focusing on high-impact, personalized, and customized learning experiences through our flagship platform CLIPP. QuickStart is a Microsoft Gold Partner providing IT training to Fortune 5000 clients in areas such as App Dev, DevOps, Information Security, Cloud Computing, and Data Science. If you are eager to join a team that aims to revolutionize training delivery, retention, and implementation, we want to hear from you. Responsibilities , include but are not limited to: Managing US Accounting in accordance with US GAAP and preparing financial analyses, KPIs, and cost reports. Managing cash flow and weekly payment plans. Preparing monthly and quarterly financial reports. Preparing Management Business Review (MBR) and Quarterly Business Review (QBR) reports for the Board and department heads. Ensuring accurate and timely monthly financial closes. Performing annual business insurance renewal processes. Managing US payroll. Managing PK accounting and payroll. Assisting in annual US financial audits with external auditors. Assisting in annual US 401(k) audits with external auditors. Assisting in annual Worker Compensation audits with external auditors. Handling Carta for tracking company stocks. Conducting variance analysis of profit & loss for the current month versus prior month. Conducting variance analysis of profit & loss between actuals and plans. Assisting the Head of Department in annual budget preparation. Establishing and driving Accounts Payable (AP) strategy. Job Specification
Minimum Qualifications : Education and Experience Accounting certification (ACCA, CMA). 5+ years of experience in financial reporting, management reporting, bank reconciliation, Microsoft Excel, and PowerPoint.
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Financial Analyst / Accounts (US Accounting & Finance)
Posted 13 days ago
Job Viewed
Job Description
Rewterz is a leading cybersecurity company specializing in managed security services, threat intelligence, and security consulting. We are seeking a detail-oriented and analytical Financial Analyst / Accounts specializing in US-based accounting and finance to join our team. The ideal candidate will have a strong understanding of US GAAP, financial reporting, and compliance requirements. This role will be responsible for financial analysis, budgeting, forecasting, and ensuring accurate financial reporting for the organization.
Key Responsibilities:- Invoicing & Billing: Prepare, issue, and track client invoices; ensure accuracy and timely follow-up on outstanding payments.
- Accounts Receivable & Payable: Manage AR/AP cycles, monitor aging reports, resolve discrepancies, and maintain healthy cash inflows/outflows.
- Cash Flow Management: Monitor daily cash positions, prepare weekly cash flow forecasts, and support liquidity planning.
- Financial Forecasting & Budgeting: Assist in preparing budgets, forecasts, and financial models to support business planning and decision-making.
- Financial Reporting: Prepare monthly, quarterly, and annual financial statements in compliance with US GAAP and regulatory requirements.
- General Ledger Oversight: Perform GL reconciliations and maintain accurate accounting records.
- Month-End & Year-End Closings: Support timely closing activities, journal entries, accruals, and balance sheet reconciliations.
- Audit & Tax Compliance: Ensure adherence to IRS regulations, assist with tax filings, and support external and internal audit processes.
- Financial Analysis: Analyze variances, identify trends, and provide insights on cost efficiency, financial risks, and opportunities.
- Systems & Process Improvement: Work closely with internal stakeholders to streamline accounting workflows and improve financial controls.
- Software Proficiency: Utilize accounting and ERP tools such as QuickBooks, NetSuite, SAP, or similar platforms for financial operations.
- Bachelor’s degree in accounting, Finance, or a related field (CPA, CMA, or MBA preferred).
- 3–5 years of progressive experience in accounting, financial analysis, or related roles, preferably in a US-based or international company.
- Strong understanding of US GAAP, financial reporting standards, and tax compliance.
- Hands-on experience with accounting platforms (e.g., QuickBooks, NetSuite, SAP) and ERP systems.
- Advanced proficiency in Microsoft Excel (including PivotTables, VLOOKUP, Macros, etc.).
- Strong attention to detail, analytical thinking, and problem-solving ability.
- Ability to manage multiple priorities, meet deadlines, and work independently.
- Excellent communication and interpersonal skills to collaborate with cross-functional teams and stakeholders.
- Opportunity to work in a dynamic and growing cybersecurity organization.
- Competitive salary and benefits package.
- Professional growth and learning opportunities.
- Collaborative and supportive work environment.
Senior Accounting and Financial Reporting Analyst
Posted 13 days ago
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Job Description
Senior Accounting and Financial Reporting Analyst
TMR Consulting is urgently looking for a Senior Accounting and Financial Reporting Analyst to take charge of our accounting operations and drive financial excellence. This is your opportunity to lead high-impact financial reporting, enhance operational efficiency, and mentor a high-performing team. If you’re ready to make a difference, apply today and join a dynamic, growing company where your contributions will be recognized.
Key Responsibilities- Lead Financial Reporting & Analysis
Own the preparation of critical financial statements, ensuring precision and accuracy. Analyze financial data, identify trends, and present actionable recommendations. Provide senior management with strategic insights and performance analysis. - Own Month-End & Year-End Closings
Lead the month-end and year-end closing processes, ensuring deadlines are met and accounts are reconciled. Manage the reconciliation of key accounts such as bank, inventory, and fixed assets, ensuring accuracy. - Drive Audit & Compliance
Oversee internal and external audits, ensuring full compliance with GAAP, IFRS, and regulatory requirements. Address audit queries swiftly and implement audit recommendations to improve processes. - Manage Taxation & Regulatory Filings
Ensure accurate and timely filing of all taxes, including VAT, GST, and corporate taxes. Stay ahead of changes in tax laws, ensuring timely compliance and optimization of tax planning. - Enhance Internal Controls & Processes
Strengthen internal controls to ensure financial integrity and safeguard assets. Identify process inefficiencies and recommend improvements that drive results. - Mentor & Lead a High-Performing Team
Lead, mentor, and develop junior accountants, ensuring exceptional performance. Provide guidance, training, and feedback to foster professional growth and high-quality work. - Support Budgeting & Forecasting
Collaborate on the preparation of budgets and financial forecasts that influence business strategy. Analyze variances and provide senior management with clear, actionable insights. - Drive Strategic Financial Decisions
Work with senior leadership to provide financial insights that inform key business decisions, including mergers, acquisitions, and new initiatives.
- Bachelor’s degree in accounting, Finance, or related field.
- CPA, CMA, or ACCA certification preferred.
- 4+ years of hands-on experience in financial reporting and accounting.
- Advanced knowledge of accounting software and Microsoft Excel.
- Strong leadership and team management skills.
- Excellent analytical, problem-solving, and strategic thinking abilities.
- Outstanding communication and interpersonal skills.
- Proven ability to manage audits, prepare complex reports, and meet deadlines.
Occasional travel may be required for audits or stakeholder meetings. Extended hours may be necessary during financial closings or audits.
Apply Now!
#J-18808-LjbffrSenior Accounting and Financial Reporting Analyst
Posted 25 days ago
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Job Description
Lead Financial Reporting & Analysis Own the preparation of critical financial statements, ensuring precision and accuracy. Analyze financial data, identify trends, and present actionable recommendations. Provide senior management with strategic insights and performance analysis. Own Month-End & Year-End Closings Lead the month-end and year-end closing processes, ensuring deadlines are met and accounts are reconciled. Manage the reconciliation of key accounts such as bank, inventory, and fixed assets, ensuring accuracy. Drive Audit & Compliance Oversee internal and external audits, ensuring full compliance with GAAP, IFRS, and regulatory requirements. Address audit queries swiftly and implement audit recommendations to improve processes. Manage Taxation & Regulatory Filings Ensure accurate and timely filing of all taxes, including VAT, GST, and corporate taxes. Stay ahead of changes in tax laws, ensuring timely compliance and optimization of tax planning. Enhance Internal Controls & Processes Strengthen internal controls to ensure financial integrity and safeguard assets. Identify process inefficiencies and recommend improvements that drive results. Mentor & Lead a High-Performing Team Lead, mentor, and develop junior accountants, ensuring exceptional performance. Provide guidance, training, and feedback to foster professional growth and high-quality work. Support Budgeting & Forecasting Collaborate on the preparation of budgets and financial forecasts that influence business strategy. Analyze variances and provide senior management with clear, actionable insights. Drive Strategic Financial Decisions Work with senior leadership to provide financial insights that inform key business decisions, including mergers, acquisitions, and new initiatives. Qualifications & Skills
Bachelor’s degree in accounting, Finance, or related field. CPA, CMA, or ACCA certification preferred. 4+ years of hands-on experience in financial reporting and accounting. Advanced knowledge of accounting software and Microsoft Excel. Strong leadership and team management skills. Excellent analytical, problem-solving, and strategic thinking abilities. Outstanding communication and interpersonal skills. Proven ability to manage audits, prepare complex reports, and meet deadlines. Working Conditions
Occasional travel may be required for audits or stakeholder meetings. Extended hours may be necessary during financial closings or audits. Apply Now!
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Financial Analyst / Accounts (US Accounting & Finance)
Posted 25 days ago
Job Viewed
Job Description
Rewterz is a leading cybersecurity company specializing in managed security services, threat intelligence, and security consulting. We are seeking a detail-oriented and analytical Financial Analyst / Accounts specializing in US-based accounting and finance to join our team. The ideal candidate will have a strong understanding of US GAAP, financial reporting, and compliance requirements. This role will be responsible for financial analysis, budgeting, forecasting, and ensuring accurate financial reporting for the organization. Key Responsibilities:
Invoicing & Billing: Prepare, issue, and track client invoices; ensure accuracy and timely follow-up on outstanding payments. Accounts Receivable & Payable: Manage AR/AP cycles, monitor aging reports, resolve discrepancies, and maintain healthy cash inflows/outflows. Cash Flow Management: Monitor daily cash positions, prepare weekly cash flow forecasts, and support liquidity planning. Financial Forecasting & Budgeting: Assist in preparing budgets, forecasts, and financial models to support business planning and decision-making. Financial Reporting: Prepare monthly, quarterly, and annual financial statements in compliance with US GAAP and regulatory requirements. General Ledger Oversight: Perform GL reconciliations and maintain accurate accounting records. Month-End & Year-End Closings: Support timely closing activities, journal entries, accruals, and balance sheet reconciliations. Audit & Tax Compliance: Ensure adherence to IRS regulations, assist with tax filings, and support external and internal audit processes. Financial Analysis: Analyze variances, identify trends, and provide insights on cost efficiency, financial risks, and opportunities. Systems & Process Improvement: Work closely with internal stakeholders to streamline accounting workflows and improve financial controls. Software Proficiency: Utilize accounting and ERP tools such as QuickBooks, NetSuite, SAP, or similar platforms for financial operations. Qualifications & Experience:
Bachelor’s degree in accounting, Finance, or a related field (CPA, CMA, or MBA preferred). 3–5 years of progressive experience in accounting, financial analysis, or related roles, preferably in a US-based or international company. Strong understanding of US GAAP, financial reporting standards, and tax compliance. Hands-on experience with accounting platforms (e.g., QuickBooks, NetSuite, SAP) and ERP systems. Advanced proficiency in Microsoft Excel (including PivotTables, VLOOKUP, Macros, etc.). Strong attention to detail, analytical thinking, and problem-solving ability. Ability to manage multiple priorities, meet deadlines, and work independently. Excellent communication and interpersonal skills to collaborate with cross-functional teams and stakeholders. Why Join Rewterz?
Opportunity to work in a dynamic and growing cybersecurity organization. Competitive salary and benefits package. Professional growth and learning opportunities. Collaborative and supportive work environment. Apply Now #J-18808-Ljbffr
Cost Accounting Executive
Posted 6 days ago
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Job Description
Production costing, wastage costing, and milk reconciliation.
Carrying out cost-volume-profit (CVP) analysis.
Advertising executives and upper management on appropriate costing based on financial data.
Analyze and recommend cost efficient and financially feasible cost options.
Preparing cost of goods sold and production reports.
Job SpecificationMust have:
- Ms Excel knowledge
- Cost Accounting knowledge
- Any certifications related to Cost Accounting
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Cost Accounting Executive
Posted 25 days ago
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Job Description
Must have: Ms Excel knowledge Cost Accounting knowledge Any certifications related to Cost Accounting
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