With commerce academic background and more than 5 year of working experience in the fields of Accounting and Finance, seeking a challenging, developing and career making position with opportunity to utilize my best capabilities in collective personal, organizational and social growth and serve the organization with sincerity and professional commitment.
Able to work well under pressure.
Self-motivated and hardworking.
Interpersonal communication skills.
Regular, punctual and ethical.
Energetic and enthusiastic.
Highly trustworthy.
➢Assisting G.Manager and CEO for operations and financial matters.
➢Assisting managers for implementation of company's policies for smooth environment.
➢Providing assistance to tax manager in filing of sales tax, DLTL Rebate, Custom Rebate and regularly follow up on Rebate recovery.
➢Handling day to day Fund Management.
➢Budgeting Cash flow, Bank position for future planning.
➢Dealing with Bank treasury for negotiating of foreign currency rate for import / export settlements, Discounting / Bai Salam / project financing.
➢Reconciliation and tracking cost related to export shipments, Bank charges, debit / credit advise and discounting matters.
➢Handling and follow up on Receivables & Exp payments.
➢Inventory Management, Reporting, Reconciliation of accounts ledgers.
➢ Assist Senior in preparing Financial Statements (Income Statement, Balance Sheet, Cash flow).
➢ Responsible for recording & reconciliation of all expenses e.g Salaries, Allowances, Utility, Cost & Capital expenses in a timely manner as following Accrual Accounting system
➢ Working with Managers to develop monthly expense plan goals.
➢ Preparing and issuing cheques, pay order and maintain it on an excel sheet and reporting to the Manager.
➢ Responsible for Income Tax Deduction at the time of salaries & supplier payments after checking and confirmed of their status (AOP, COMP, IND) by current laws & regulations.
➢ After deduction of Withholding Income Taxes Submitting to FBR.
➢ Coordinated with suppliers regarding tax-related issues.
➢ Sending Outstanding & system generated invoices to the salesperson and following up for payments.
➢ Coordinate with the bank regarding payments, chequebooks related issues
➢ Reporting (A/c payable, receivables, inventory, expenses, staff performance report) through Excel & Peach tree Accounting Software.
➢ Petty Cash.
➢ Receiving, issuing & Handling all inventory in proper records and preparing Invoices, Purchase order, Sales order & Goods receiving notes.
➢ Making Payroll with Time Attendance Machine Software.
➢ worked for Improving timely paying of bills by developing flexible payment plans for suppliers.
➢ Performed complex general accounting functions, including daily preparation of trial balance with proper analysis of accounts statement and reconciliation.
➢Prepared journal vouchers, payment & receipt vouchers, disbursements, security deposits schedule and payments plan.
➢Performed Bank reconciliation as well as coordinating with banks for any discrepancies like payments, deposits, pay order, and other related issues.
➢ Worked with management at the project level to ensure expense plans are achieved.
➢ Withheld and withholding tax calculation at the time of payments & receipt and then prepared tax sheet monthly and reporting to CEO.
➢ Communicate with Customer & Supplies through mail & call.
➢Maintain daily books of Accounts.
➢Maintaining and Issuing Cash Payment & receipt Along with Petty Cash.
➢Updating and maintaining accounting journals, ledger and other records detailing financial business transactions .
➢Worked for Improving timely paying of bills by developing flexible payment plans for suppliers.
➢Reconciliation (Bank, Receivable, and Payable).
➢Maintain Payroll data, prepares and processes monthly payroll.
➢Checking and updating all Inventory Entries. Collect the Order from all our distributors and prepare invoices.
➢Communicate with Customer & suppliers through mail & call.
➢Maintained and controlling all Receivables & Payable.
➢Prepared monthly payroll.
➢Handled Cash Payment & receipt Along with Petty Cash.
➢Reconcile & Recording Bank Payment & Receipt and generating check for payments.
➢Process all journal entries with accounting Software.
➢Maintain & keeping all files record through manual filing.
➢Coordinate with customer to be regular follow up on payments.