I am a finance professional with around 9 years of experience in accounting, financial reporting for small and medium size enterprises. I hold professional qualification in accounting and finance and got my initial training in audit and accountancy firm. Currently I am seeking for a position where I can excel my skills and abilities in the companys interest
Preparing budgets Maintaining and Managing Cash flow Reconciliation of different types of calculations Plaining and Implementing Policies after discussions with CEO Responsible for month and year end procedures by analyzing information, creating reports and monitoring and reviewing journal entries. Prepares monthly financial report to Board of directors
Preparing Installment Plains Complete Calculation of DP, Commission Preparing Invoices, Preparing Cash Payment Vouchers, Cash receipt Vouchers Preparing Resale folder for each client Performing Bank Reconciliation Preparing Tax Data Filing of Income Tax Return Responding to FBR Notices Reconciliation of Account receivable Maintaining Ledger Dealing with all Secp & Fbr Matters Preparing Sale sheet for the whole project Managing Company financial reporting system by Monitoring the whole accounting process
Managing Cash Flow and checking of Expenses, Revenue and cost on daily bases. Managing Payroll Including Bonuses, commission, advance, gross and net Payment. Calculating Taxes and Solving Tax Issues as per law and Standards Calculating Taxes such as Tax on salaries, GST on sales Dealing with Banks including deposits, withdrawal, Reconciling Sales Tax with sales Tax return Company Tax Filling Compliance with EOBI and SSSI and Labour Law Preparing Company Worth Report , Calculating total Investment of company Calculating withholding Taxes, GST on each Invoice Coordinating with other financial Institution such as FBR and SECP Calculating bonuses, incentives slabs , Freight on different Products of different companies such as dawlance haier & Pell Prices adjustment of different companies such Pell, Dawlance and Haier Pvt Maintaining Ledgers, Preparing Statement of Profit and Loss and Statement of Financial Position Performing Bank Reconciliation Reconciling the Payables and Receivable ledgers
Preparing the financial statements Assisted the finance department in account and bank reconciliation, Sales tax Reconciliation, Making NTN, prepared Income tax payment Challan ,Doing Audit as per International Financial Reporting Standards and International Standards on Auditng
Accounts, finance, costing