To enhance professional capabulities by accepting and accomplishinf challenging assignments, show potential abilities by dedication, knowledge and intelligence commensurating to my expertise and grow with the growth of an organization.
Maintain Office Files and other source of data
All Accounting Activities from recording of daily transactions to preparation of financial Statement by using Oracle Finance Software.
Maintaining the Purchase Register.
Controlling Accounts Receivable & Payable (AR/AP)
Maintain Local Sales & Export Invoices
Making Adjustments for Accruals and Prepaid
Monitoring the bank transaction includes D.D cheque & online transfer
Checking and passing of suppliers bills for payment.
Handle Cash & Post Dated Cheque’s
Maintain reports & documents using MS Word & Excel.
Maintain Cash Book & Bank Book
Dealing with Customers & follow up outstanding payments.
Maintain of Petty Cash Account
Cheque & Cash deposit into the Bank
Preparation of Receipts, Payments, Journal vouchers
Prepare Bank Reconciliation Statement on Monthly basis.
Preparing financial statement includes Ledger, Trail Balance, Profit & Loss account and Balance Sheet.
Maintain Office Files and other source of data
All Accounting Activities from recording of daily transactions to preparation of financial Statement by using Tally ERP 9 Software.
Maintaining the Purchase Register.
Controlling Accounts Receivable & Payable (AR/AP)
Making Adjustments for Accruals and Prepaid
Monitoring the bank transaction includes D.D cheque & online transfer
Checking and passing of suppliers bills for payment.
Maintain WPS Salary Account.
Handle Cash & Post Dated Cheque’s.
Maintain reports & documents using MS Word & Excel.
Maintain Cash Book & Bank Book
Dealing with Customers & follow up outstanding payments.
Maintain of Petty Cash Account
Cheque & Cash deposit into the Bank
Preparation of Receipts, Payments, Journal vouchers
Prepare Bank Reconciliation Statement on Monthly basis.
Preparing financial statement includes Ledger, Trail Balance, Profit & Loss account and Balance Sheet.
Maintain Office Files and other source of data
All Accounting Activities from recording of daily transactions to preparation of financial Statement by using Software.
Maintaining the Purchase Register.
Controlling Accounts Receivable & Payable (AR/AP)
Monitoring the bank transaction includes D.D cheque & online transfer
Checking and passing of suppliers bills for payment.
Handle Cash & Post Dated Cheque’s.
Maintain Cash Book & Bank Book
Dealing with Customers & follow up outstanding payments.
Maintain of Petty Cash Account
Cheque & Cash deposit into the Bank
Preparation of Receipts, Payments, Journal vouchers
Prepare Bank Reconciliation Statement on Monthly basis.
Prepare Financial Statement for the month.
Preparation of books of accounts
Physical Stock taking
Preparation of Receipts, Payments, Journal vouchers
Prepare Bank Reconciliation Statement
Maintenance of Petty Cash account
Preparation financial Statement Profit & Loss account and Balance Sheet
Filling of Income Tax Return