Seeking an organization, where I can apply my intensive training and analytical skills to work and succeed professionally.
Furthermore I want to expose myself in vibrant and competitive environment with opportunity of developing skills to utilize my professional abilities for the mutual benefit of organization and my professional career.
Responsibilities include:
Posting of journal entries in Sidat Hyder Financial Accounting Software.
Posting of entries Bank Payment Voucher .
Posting of entries Bank Receipt Voucher.
Posting of entries Cash payment Voucher.
Posting of entries Cash Receipt Voucher.
Posting of entries Journal Voucher.
Bank Transfer Voucher.
Responsibilities include:
Posting of journal entries in Quick Book Accounting Software regarding bills sent to Pak Suzuki and consequently its reimbursement to Suzuki capital motors bank account.
Daily Expense and cash report recorded.ÂÂ
Daily Service report recorded.ÂÂ
Reconciliation of bank account with general ledger.
Maintain Receivable and Payable.
Responsibilities include:
During the Audit check Expendeture, Revenue, And other Financial records.
Manage Audit file in computer and paper form.
Check and inspected the accuracy of Accouts Receivable and payable ledgers.
Bookkeeping Clients.