خلاصہ

Under direction, performs a variety of professional level accounting duties involved in preparing, maintaining, analyzing, verifying, and reconciling complex financial transactions, statements, records, and reports; maintains the accuracy of the ledgers and subsidiary financial systems; assists in the preparation of assigned , annual audit, and year end closing; and provides highly responsible staff assistance to assigned management staff.

تجربہ

کمپنی کا لوگو
Assistant Finance Manager
Wegrow Trading
اکتوبر ۲۰۲۳ - موجودہ | Karachi, Pakistan

Working on ERP Systems (Quickbook Accounting software)
Prepare Journal Vouchers, Bank Payment and Receipt Vouchers
Preparation and Review of Accounts
Preparing All Necessary Adjustments of Receivables Regarding their Payments
Reconciliation of Accounts Receivable & Payable
Calculation of outstanding Balance of Accounts Receivable From Ledger
Prepare Payroll Sheet
Bank Reconciliation

کمپنی کا لوگو
Accountant
VIP Flags
دسمبر ۲۰۱۸ - ستمبر ۲۰۲۳ | Karachi, Pakistan

Working on ERP Systems (Tally Accounting software)
Prepare journal vouchers, bank payment and receipt vouchers
Preparation and review of accounts
Preparing all necessary adjustments of receivables regarding their payments
Reconciliation of accounts receivable & payable
Calculation of outstanding balance of accounts receivable from ledger
Prepare payroll sheet
Bank Reconciliation

کمپنی کا لوگو
Accountant
Saya Weaving Mills (Pvt.) Limited
مارچ ۲۰۱٦ - نومبر ۲۰۱۸ | Karachi, Pakistan

▪ Working on ERP Systems (Oracle Accounting software)
▪ Prepare journal vouchers, bank payment and receipt vouchers
▪ Preparation and review of accounts
▪ Preparing all necessary adjustments of receivables regarding their payments
▪ Reconciliation of accounts receivable & payable
▪ Bank Reconciliation
▪ Review of Cash & Bank Accounts on daily basis
▪ Dealing with queries of clients
▪ Prepare aging and stock reports

کمپنی کا لوگو
Audit Trainee
S.M Suhail & Co.
اکتوبر ۲۰۱۵ - فروری ۲۰۱٦ | Karachi, Pakistan

*Performing external audits under the supervision of Audit Supervisor
*Accountancy services with reporting on daily basis to supervisor
*Internal audit services to clients
*Working on ERP Systems (BizCore Accounting software)
*For accounting assignments, clients worked on NCE (Private) Limited, Patient Welfare Association and Sindh Industrial Trading Estate.

NCE (Private) Limited
 Posting general entries on monthly basis
 Reviewing journal vouchers, bank payment and receipt vouchers
 Dealing with queries of client
 Annual reporting

Patient Welfare Association
 Posting general entries on daily basis
 Prepare journal vouchers, bank payment and receipt vouchers
 Dealing with queries of client
 Prepare bank reconciliation, cash in hand reconciliation and advance to petty reconciliation
 Monthly reporting (blood consumption report, liability report)
 Preparation of monthly accounts

کمپنی کا لوگو
Accountant
Al Hajra Corporation
مارچ ۲۰۱۰ - ستمبر ۲۰۱۵ | Karachi, Pakistan

 Posting general entries on daily basis
 Prepare journal vouchers, bank payment and receipt vouchers
 Preparation and review of accounts
 Preparing all necessary adjustments of receivables regarding their payments
 Reconciliation of accounts receivable balance
 Preparation of monthly account

تعلیم

University of Karachi
بیچلرز, بیچلرز ان کامرس, ‎
Accounting & Finance
فی صد 48%
2014

پیشہ ورانہ مہارتیں

متوسط Accounting
ماہر Bank Reconciliation on
ابتدائی Bookkeeping
ماہر Handling Assignments
ماہر Microsoft Outlook
ابتدائی MS Excel
ماہر Oracle
ماہر Payroll Processing
متوسط PIPFA
ابتدائی QuickBooks
ماہر Reconciliation
ماہر Social Welfare Management
متوسط Tally ERP
ماہر Voucher Management

زبانیں

ماہر اردو
متوسط انگریزی