17 months worked as a branch accountant at Saylani Discount Store.
01 year worked as an accountant in M/s Ahmed Technologies.
06 months worked as an accountant in M/S Raza Industries (Pvt.) Ltd. Karachi.
More than 7 years of varied experiences as an accountant in New Allied Electronics Industries (PVT) Ltd. Karachi.
More than 3 years worked in Accounts Department in M/S TRADEX Karachi
I have equipped myself with all accounting functions, the functions include general office management, Inventory Control, accounts receivable, accounts payable, billing, Payroll, bank reconciliation, and general ledger reconciliations, P&L, making daily reports, analysis on them and also generating monthly statements, providing administrative support to the management.
Prepare Bank Reconciliations.
Cash Flow.
Prepare IFTs.
Monitor Vendor’s aging.
Final Review of Vendor’s Bills & Supporting for the Payment & Issue Vendor’s Payment Chqs
Manage Accounts, Finance & Administration of Mart.
Arrange to Reconcile Vendor’s Ledgers on Monthly Basis.
Ensure Stock Availability & Manage Inter Branch Stock Movement.
Monitor Stock Expiry & Stock Aging.
Product Costing.
Maintain all day to day accounting activities.
Maintain AP, AR, cash sales, cash in hand, GL, bank accounts & inventory.
Maintain supplier’s & customer’s ledgers.
Maintain daily fund collection report.
Manage balance verifications of suppliers & Customers
Prepare sales profitability report.
Reconciliations: bank, cash & inventory.
Cash Flow
Prepare profit & loss report monthly.
Maintain all day to day accounting activities.
Maintain AP, AR, cash sales, credit sales, cash in hand, GL, bank accounts & inventory.
Maintain supplier’s & customer’s ledgers.
Maintain daily fund collection report.
Manage balance verification's of suppliers & Customers
Prepare sales profitability report.
Reconciliations: bank, cash & inventory.
Prepare profit & loss report monthly.
Supervision of accountants, cashiers & warehouse keepers of retail outlets.
Manage all day to day accounting activities.
Manage AP, AR, cash sales, credit sales, cash in hand, GL, bank accounts & inventory.
Issue LPO & post dated cheques to the suppliers & partners as per company policy.
Manage supplier’s, partner’s & customer’s ledgers.
Manage daily fund collection report.
Manage balances verifications of suppliers & customers as per schedule.
Prepare sales profitability report.
Reconciliation: bank, cash & inventory.
Scrutinize Petty cash expense.
Prepare profit & loss report monthly.
Supervision of all branches accountants in north region, 6 branches.
Maintain all accounting activities of accounts receivables, bank accounts, branch expenses, customer discounts, sales returns & Dr. /Cr. Notes.
Managing & Controlling Receivables Aging, Collection & Credit Limits of all branches.
Managing Inventory Control.
Monitor Price Control Policy.
Re-check distributer’s discounts & finalize for approval.
Reconcile ledgers with dealers & corporate customers.
Adjustment & balancing of Trial Balance.
Check bank reconciliation reports of all branches.
Check stock reconciliation & stock position reports.
Scrutinize Petty cash expense.
Prepare reports for internal & external audit
Visit to branch as per schedule & surprise check.
Prepare reconciliation reports of Cash, Bank, Stock & Sundry Ledgers of all Retail Outlets & Corporate sales branches & report to Manager Accounts.
Prepare of required discounts of all retail outlets within given time frame for approvals.
Software Development of Accounts & Inventory
Check Purchase Orders of Corporate sales.
Prepare withholding tax challans receivables detail of corporate division & submit to internal tax department.
Maintaining all financial activities of a branch
Maintaining Cash Sales, Receivables, Receipts, Bank & Inventory registers in computerized on line accounting system.
Maintaining delivery orders, Goods receiving & transfer notes.
Deliveries follow up and maintain the receiving’s of delivered stock.
Maintain manual cash book and cheque register.
Timely Invoicing to corporate customers.
Preparing all supporting documents to internal and external audits.
Deposit post dated cheques on the maturity date.
Follow up of withholding tax challans receivable from corporate customers.
Dr. / Cr. Notes and expense entries to their respective accounts.
Posting of sales, sales return, receipts, bank, and GL entries in Oracle based accounting software.
Prepare bank reconciliation statement.
Maintain manual cash book.
Maintain deliveries & make proper filing.
Maintain stock inward & outward registers.
Handling of display’s ware house and stock taking on weekly and monthly basis.
Postings of all accounting activities in Foxpro designed accounting software.
Maintaining of receivable Commission report of all Banks.
Maintaining proper filing of contracts with Banks.
Maintaining manual Cheque register.
Deposit post date cheques on maturity date.
Reconciliation of receivables of local and foreign banks.
Maintaining daily funds reports.
Preparing Payroll