Professional Experience
I have started my professional carrier in 2007 with UBL FUND MANGER in Investment Department. After 15month experience I worked as lead generator in Barclays Bank. Then I doing job in a multi Business firm (Fazal Associates) as Accountant, I have gain experience of accountancy, managing administration, recovery of funds and marketing. Then I am working as Manager Accounts in Divine Group of Companies. Here I manage Divine Poultry Farms (PVT) Ltd. Now I am working in NCBA & E as Assistant Controller Examination. For further I am doing a part time job in UNIVERSAL CONTAINERS (subsidiary Citropak.Ltd.) And my responsibilities as under;
At Universal Containers
Data Entry ERP Software.
Stock Analysis Report.
Sales Tax Returns.
Income Tax Deduction.
Income Tax Submission.
Sales Tax Refundable Reports
Bank Reconciliation.
Vendor Reconciliation.
Profit & Loss Report
Balance Sheet Working
At NCBA&E
Preparing Transcripts & Degrees.
Conduct Examination & Result.
Attestation of Transcripts & Degrees from HEC.
Audit all students document regarding their credentials.
Reporting to Controller Examination.
Verification of Departmental and Individual Level Letters.
HEC Attestation Letter Processing.
At Divine Group of Co.
Coordination with Director.
Preparation of accounts cash flows.
Processing, verification and processing of creditor’s bills.
Processing of clients’ accounts internal & external.
Reconciliation of Cash & Bank Ledgers.
Handling of different types of Vouchers like Petty Cash Voucher, Payment of Expense Statements etc.
Prepaid of Purchase voucher, Bank Received Voucher,
Preparation of BANK Collection Statement and BANK Payment.
Data entry in ERP software.
Data Entry in Data Base Systems.
Data Entry in Cranium Software.
Hiring Individual and Keep Maintain Their Record,
Complete Administration related Work.
Scope of Working in Devsinc
Payroll Product Team Bonus
Project Thread Client Bonus
Annual bonus
Annual Leave encashments
Vehicle Write off Employees
overtime Minimum guarantees
Mentorship Allowances
Attendance verification
Final Settlement
Provident Fund Settlement
Entries in ERP & Odoo Software
Managing Cash Inflow Outflows
Working Salaries and Disbursement.
Monthly Fuel Report and Payment.
Bank Reconciliations.
Data Entry on Oracle Software.
Data Entry on ERP.
Monthly Working on Billing.
Reconciliation Vendors.
Income Tax Working.
Income Tax Returns Filling.
Sales Tax Submission.
PRA Sales Tax Submission.
Nagina Cotton Mills Limited. Managing Cash Inflow Outflows
Working Salaries and Disbursement.