Highly talented and results-driven mid-level professional accountant with over four years of experience and multiple skills covering many accounts such as income statements, profit & loss sheets, vendor's ledger, head office expenses & salaries of more than two companies at a time. Effective accountants are capable of developing internal controls that increase efficiency and enhance accuracy.
Related to shops: -
Take sales reports from shops daily.
Follow with shops for sales collections.
Enter sales, cash collections, and expenses of shops in software.
Issue petty cash advances to shops within the limits defined by the management.
Maintain sales reports hard copy file as a record of the head office.
Analyze sales prices, discounts, and gross margin of shops. Provide shops related reports to the shop manager for proper monitoring of shops.
Coordinate with shops and provide management reports as required.
Monthly close the sales, expenses, cash receipts, and advances. Provide a final report to management to prepare a Profit and Loss Accounts.
Receive cash from shops.
Receive sales collections from shops.
Check invoice numbers properly at the end of the month of all shops.
Any other work within the scope defined above.
Make salaries& commission of employees including shop managers & salesmen as per company policy.
Maintain files of shops in physical form.
Related to banks: -
Manage all bank accounts and customer balances of sister companies of Bulley shah international on daily basis (i.e. Pakistan Packages, IS graphics Internationals, Vantage Denim, Safe Box International & Fast Services).
Maintain checkbooks, make checks for party payments, deposited and receive cash from banks, deposited clearing and other checks in banks, opened employee bank accounts, and open company bank accounts, and perform any other transaction related to a bank.
Collect bank statements as per the requirement of the office from banks in a mild form.
Related to Head Office: -
Directly reported to the owner in all cash & bank matters.
Make cash payments daily.
Make debit and credit vouchers for cash transactions.
Make cash books daily and close physical cash daily.
Make salaries of employees including labor and management according to company policy.
Enter all the transactions related to cash and bank in the software. Keep the balance of the cash account in the software as per the manual cash book.
Maintain files of all vehicles on bank installments & their repairing work.
Perform any other task related to above mention J.D as per requirement.
Related to vendors: -
Maintain ledger of vendors on daily basis.
Arrange payment for vendors as instructed by senior managers.
Discuss the ledger with the vendor and solve any query if happen related to ledgers.
Maintain files of vendors in physical form.