خلاصہ

A result driven, self-motivated, resourceful Accounts & Finance professional with a proven ability to provide key financial data, support and reporting to assist in key business decisions. Having good communication and interpersonal skills with 7 years of finance & accounting work experience in different Industries ranging from IT to FMCG and Real state.



Possessing ability to implement strong financial controls, risk management, practical knowledge of IAS, and ensuring that all statutory and corporate obligations are met.



My Career objectives are to seek challenging assignment and responsibility in finance department, with an opportunity for growth and career advancement as successful achievements.

پراجیکٹس

Renovation of Topi Rakh Auditorium

تجربہ

کمپنی کا لوگو
Sr. Accounts & Finance Executive
Zepto Systems
جولائی ۲۰۱٦ - موجودہ | Islamabad, Pakistan


Key Achievements: -

·        Lead Four successful external audits with International Audit Standards.
·        Implement accounting standards and processes in compliance with IAS.

general accounting: -

 
·        Maintaining the Trial Balance, General Ledger, Profit & Loss account and Balance Sheet on monthly basis.
·        Ownership of overall sales record and Sales Reporting.
·        Compnay Monthly , Quaterly and Yearly Financial Reporting.
·        Branches expenses reports on monthly, Quarterly and Yearly  basis.
·        Responsible to automate accounts (invocing etc) via web based ERP (Xero Accounting).
·        Assgined to calculate , manage and dispurse Sales Comissions for PK and UK office both.
·        Budgeting & Forcasting
·        Maintaining the different types of provisions.
·        Communication & Resolution with the suppliers & staff as required.
·        Arranging for monthly and yearly physical inventory counts in coordination with relevant departments.
·        Maintains customer confidence and protects operations by keeping financial information confidential.
·        Responsible for refund payments to customers.
·        Reconciliation of inventory physical stock versus ledger stock.
·        Responsible for preparing overtime sheet for payroll department.
·        Ensure accurate monthly end close on tight deadlines.
·        Responsible for Auditing both internal and External (with Auditors)
·        Maintain Fixed assests register
·        Assigned to maintain all types of vouchers.
·        Bank reconcilitoin of compnay accounts
·        Updating and adjusting the suppliers and customers accounts.
·        Leading accounting matters of all branches in coordination with Branch Managers.
·        Petty cash management and reconciliation.

TaXATION: -

·        Income tax calculation of all staff from their salaries.
·        Adjustment of Adjustable advance tax which employee paid other than salary.
·        Coordination with Tax consultant in all tax issues.
·        Keep Record of Purchase (input) and Sales Register (output) for monthly sales tax return.
·        Withholding tax u/s 149 and 153 on all payments.
·        Calculating, preparing and submitting accounts and tax returns;
·        Assisting to consultant for Performing work related to SECP, Company return in FBR, annual audited reports submission etc.
·        Maintain sale tax record of Sindh, Punjab and Federal
·        Assist to all employees regarding their income tax issues.
·        Coordination with RJ and RP clients regarding income tax and sales tax issues.
·        Maintain of advance income tax record of all companies account separately for audit as well as FBR purpose
·        Keep record of all employees computerized payment receipt (CPR)

PAYROLL: -

 
·        Responsible for payroll processing of all branches.
·        Responsible for handling Provident fund accounts.
·        Find solution to discrepancies by analyzing and evaluating information
·        Give responses to and answer payroll inquiries promptly
·        Handle payroll transactions by adhering to procedures and policies on ground
·        Carry out regular clerical functions which involve faxing, filing, copying, and emailing
·        Establish and manage reports within payroll system
·        Handle staff confidence and safeguard payroll transactions by ensuring confidentiality of information
·        Execute affiliated outcomes for all other duties as required.
·        Work out staff modifications such as direct deposit, tax withholding, etc. as required
·        Offer support in tracking of staff leaves of absence, supervising payment and necessary documentation for each staff
·        Work as support on staff procedure and policies and offer backup for other personnel in the human resources unit

ACCOUNTS receivaBLES: -


·        Issuance of invoices to clinets on monthly basis.
·        Ensures that statement of accounts is submitted regularly to customers or whenever the need arises.
·        Ensures that all sales invoices during the month are recorded in the period they should be recognised.
·        Responsible for preparation of credit/debit notes for any adjustments affecting sales after proper co-ordination with customers.
·        Ensure that revenue and accounts receivable are properly reconciled with that of the general ledger.
·        Monitoring the Receivables & making daily collection calls & updating the customer's records.
·        Applying the cheque collection in system on timely basis.
·        Analysing the Account Receivable Aging report.
·        Follow up with clients on outstanding balances.
·        Settlements of payments against customer’s outstanding amounts.
·        Liaison with banks in order to clear the finance deals.
·        Applying the amount transferred by the bank against the outstanding invoices.
·        Liaise with clients in case of any issue in the invoice.








ACCOUNTS PAYABLES: -

 
·        Receiving the supplier’s invoices along with all supporting documents.
·        Co-ordinate with sales team in order to old and pending invoices and jobs.
·        Interaction with sales team in order to check the supplier’s agreements.
·        Interaction with admin department in order to ensuring the cost is properly charged to the correct account.
·        Reviewing and audit all payment claims generated by suppliers systematically and within allowed timescales.
·        Interaction with suppliers in case of any discrepancy in the invoices.
·        Interaction with suppliers for inquiring their statement of accounts for process of payments.
·        Analysing the accounts payable aging report.
·        Prepares payments by verifying documentation, and requesting disbursements.
·        Making Reconciliation between our records and Supplier’s records and preparing the payment order for the due invoice.

کمپنی کا لوگو
Accountant
Topi Rakh Auditorium
اپریل ۲۰۱۵ - جولائی ۲۰۱٦ | Rawalpindi, Pakistan


Responsibilities:

·        Prepare monthly basis Income and Expenditure reports.
·        Recording and maintaining all transactions in Accounting Software QuickBooks
·        Preparation and insured disbursement of Salary/ payroll
·        Maintaining Cash book, Bank Records, investment updates, EOBI, Calculation of investor's share of profit on monthly basis, Preparation of Minute Sheets for Construction Projects and Capital Works
·        Control of Computer system (General Ledger System & Parties Tax Payable System
·        Dealing with consultant and department.
·        Reconciliation of Bank and Organization Accounts.
·        Maintain Separate Records of Contributory Provident Fund
·        Make Payment Voucher, Receipt Voucher, Journal Vouchers etc.
·        Coordination with procurement departments.
·        Managed all types of disbursements and relation accounting matters.
·        Makes Bills payable and Receivable Accounts.
·        Preparation of annual Organization Trial balance, Profit & Loss and Balance Sheet.
·        Recovery outstanding payment and running Payments
·        Supervise the work during leave of Acct Officer.
·        Insured that bills are attached to the associated vouchers.
·        Maintain Tax deduction details, Payment details and their correspondence with tax consultant.
·        Prepared guest invoice as sporting refund voucher.
·        To deal with all the account matter of TRM under supervision of Accounts Officer.
·        To supervise work of one cashier / Computer Operator.

کمپنی کا لوگو
Accounts/Admin Officer
Al-Haram City Chakri Road, Rawalpindi
اکتوبر ۲۰۱۲ - مارچ ۲۰۱۵ | Rawalpindi, Pakistan


Accounts Duties:

·        Preparation of Salary Sheet.
·        Prepare Monthly Income & Expenditure Report.
·        Reconciliation of Bank and Organization Accounts.
·        Coordination with procurement departments.
·        Handling of secure and safe cash Transaction.
·        Managed all types of disbursements and relation accounting matters.
·        Makes Bills payable and Receivable Accounts.
·        Generate and maintain the record of Invoices.
·        Maintain trial balance, Profit and Loss statements and Balance sheet.
·        Recovery outstanding payment and running Payments
·        Handle Petty Cash Recoupment system.
·        Processing of all types of vouchers.
·        Payment made to different Vendors
·        Keep record of all staff attendance
·        Overtime management of all staff

Administrative Duties:

·        Vehicles management
·        Manage Janitorial staff.
·        Maintenance of all society management
·        Tackle all electricity issues of society
·        Supervise to all office and labor staff
Manage to all security issue

تعلیم

Allama Iqbal Open University (AIOU)
ماسٹرز, ماسٹرز ان بزنس ایڈمنسٹریشن, MBA Finance‎
Accounting & Finance, Project Management, Corporate Finance
فی صد 76%
2018
University of the Punjab
بیچلرز, , Bachelors in Commerce‎
Accounts, Audit and Finance
فی صد 61%
2011

پیشہ ورانہ مہارتیں

ماہر 4 Knowledge of Taxation
ماہر AAccounting
ماہر Accounnts Management
ماہر Accounting+
ماہر Accounts Administration
ماہر Accounts Coordination
ماہر Accounts Software Command
متوسط Asset Management
متوسط Bank Management
ماہر Bank Reconciliation     
ماہر Book Keeping
ماہر Bookkeeping Knowledge
ماہر Branch Accounting
ماہر Budget Analysis
ماہر Budgeting
متوسط Business Analysis
ماہر Charge Bookkeeping
متوسط Commercial Accounts
ماہر Configuration Switches
ماہر Employment Forms Processing
متوسط External Audits & Other Assurances
ماہر Financial Accounting
ماہر Financial Analysis
ماہر Financial Modeling and
ماہر Financial Statement Analysis+
ماہر Financial Statements Management
متوسط Fixed Asset Amortization
ماہر Front Desk Responsibilities
ماہر Handling Assignments
ماہر Internal Audit Command
متوسط Internal Controls
ماہر Invoice Discounting
ماہر Japanese & Korean Language Proficiency
ماہر MIT Knowledge
ماہر of Financial Management
متوسط Payroll Management
ماہر Payroll Processing
ابتدائی Peachtree Command
متوسط Presentation Skills
ماہر Reconciliation
متوسط Sales Audit
ماہر Search Literature
ماہر Social Welfare Management
ماہر Stock Control
ماہر Taxation
متوسط Teller Services
ماہر Transaction Operations Handling
ماہر Understanding Nature
ماہر Voucher Management
متوسط إدارة عمليات الفروع

زبانیں

ماہر اردو
ماہر انگریزی