EXPERIENCE
Mumtaz Construction Company (Pvt.) Ltd (Nov, 2013 April 2017
Accounts Assistant
Deal with banking transactions.
Bank Reconciliation.
Daily checking of a voucher.
Cash checking randomly in a month.
Verification of vouchers and Payments of Suppliers.
Dealing with Suppliers Cash.
Data entry in developed Accounting Software (AIMS).
Documents financial transactions by entering account information.
Filing and custody of vouchers and maintenance of accounting record.
Prepares payments by verifying documentation, and requesting disbursements.
Preparation of bank reconciliation statements.
Verification of daily office inventory and cash expenses.
Prepares the monthly Payroll sheet for staff.
Submit WHT (Direct Tax) with FBR etc.
Two months experience in HBL Thana as in trainee (Malakand Agency)
Computer Skills and Other Abilities
Sr. Skills Abilities Proficiency Level Last Used / Practiced
1 Word Processing (MS Word) Good Currently Using
2 Soft Presentation (MS PowerPoint) Good Currently Using
3 Spread Sheet (MS Excel) Good Currently Using
4 Peach Tree (Accounting Software) Good ---
5 Tally ERP-9 (Accounting Software) Good ---
6 Quick Book (Accounting Software) Good ---
FIELD OF INTEREST/HOBBIES
Internet surfing.
Reading books NEWS paper.
Writing articles.
Enter Description
Deal with banking transactions.
Daily checking of voucher.
Cash checking randomly in month.
Verification of vouchers and Payments of Suppliers.
Dealing with Suppliers & Cash.
Data entry in Peachtree
Filing and custody of vouchers and maintenance of accounting record.
Prepares payments by verifying documentation, and requesting disbursements.
Preparation of bank reconciliation statements.
Verification of daily office inventory and cash expenses.
Prepares the monthly Payroll sheet for staff.
Submit WHT (Direct Tax) with FBR etc.
Cash handing , voucher,bank reconciliation