I am Wasif Kamal; an energetic & enthusiastic individual aiming to flourish as a vitalhuman capital in your organization. I have more than 08 years of experience in the field of Accounts/Finance. A copy of my curriculum vitae is enclosed for your review.
I have done master’s in business administration (MBA) in Finance.My current employment is with Gulf Transport by Heavy Truck L.L.C, where I have been working as an Accounts Executive for 06 months.
I have good co-ordination, liaison, and follow up skills which help me to meet deadlines and targets. Working with tough deadline for all these years has given me the confidence and ability to work under pressure.
I assure you that on getting a job in your organization, I will endeavor to my utmost to utilize my abilities which I have developed throughout my professional experience, ultimately to help in achieving the organizational goals.
Thanking you and looking forward to a favorable response from your end.
- Reconciliation of statements of accounts and sharing with sales team, customers, and vendors.
- Preparation of customer aging report, collection reports and follow up for collection.
- Preparation of debit/credit notes.
- Reconcile any irregularities in receipts and daily booking for receipts.
- Establishing and maintaining relationships with new and existing vendors.
- Processing of invoice after comparing details with purchase orders.
- Handling accounts payable for separate entities and vendors.
- Preparation of international payments schedule.
- Processing transactions and performing Accounting duties such as account maintenance, recording entries.
- Assisting with financial audit, VAT returns and monthly closings.
- Performing biweekly bank reconciliations.
- Handling petty cash, debit / credit card statements
- Prepare reconciliation of bank accounts.
- Follow up with customers for accounts receivables based on credit term, reconciliation of receivables based on statement of accounts (SOA).
- Monthly analysis of accounts receivables and comments on overdue receivables for management.
- Collection of vendor invoices, booking of GR, monitor vendors’ payment as per agreed payment term, account reconciliation and clearing of old balance sheet items.
- Manage balance sheets and profit/loss statements.
- Report on the company’s financial health and liquidity.
- Reinforce financial data confidentiality and conduct database backups when necessary
- Publish financial statements in time
- Comply with financial policies and regulations.
- Track bank deposits and payments.
- Daily payment reconciliation from branches.
- Daily sale reconciliation from branches.
- Co-ordination with branches and banks for various topics.
- Clarification for internal audit queries, i.e. Visa/Master account, cash movement report (CMR), vendor payment clarification.
- Responsible for monthly, quarterly and annual closing.
- Responsible for monitoring business results and preparing comments on KPIs.
- Assist in preparation of budget/forecast for revenue, expenditure, cash flow.
- Coordination, documentation, and submission of tax returns to Central Board of Revenue.
- Perform assignment as per ad hoc basis.
- Review all invoices for appropriate documentation and send for approval prior to payment.
- Prioritize invoices according to payment terms for payments.
- Processes cheque requests for the payment to vendors.
- Respond to all vendor inquiries.
- Reconcile vendor statements, research and correct discrepancies.
- Prepare statement for Group Company Account reconciliation with vendor statement.
- Create and monitor a system of controls, procedures, and forms for the recordation.
- Assign tag numbers to fixed assets.
- Record fixed asset acquisitions and dispositions in the accounting system.
- Calculate depreciation for all fixed assets.
- Conduct periodic physical inventory counts of fixed assets.
- Submission of Tax Returns to Central Board of Revenue.
- Documentation for Professional Tax.
- Coordination with external auditor and tax lawyer.
- Preparation of Bank reconciliation statement.
- Handling rent payments of factory and offices.
- Handling all utilities bills payment and filling their record.
- Maintain files and documentation thoroughly and accurately, in accordance with company policy and accepted accounting practices
- Ensures purchase orders, receiving and invoices are matched.
- Verifying the accuracy of invoices and other accounting documents or records.
- Prepare daily journal entries.
- Purse outstanding debts in order to ensure that cash is collected within the credit period.
- Monthly reconciliation of Purchase ledger balances to supplier statements.
- Assist to Accountant in the preparation of period end journals for accruals, prepayments etc.
- To verify Goods Received Notes (GRN) of Medicines and General Items.
- To arrange assistant auditor team for surprise inspection of different hospital wards and departments.
- Calculation of Depreciation on Fixed Assets and other related assignment.
- Prepare reports for shortage, excess and spoiled items.
- Preparation of report of various hospital departments to submit to HODs.
- Frequent checking of sample inventory of general store & pharmacy and prepare required report.
- Daily routine checking of various departments’ income through MIS (Medical Income Sheet