Accomplished & performance driven with 3.5yrs of insightful Pakistan experience of Accounts & Finance Management. A desire of being on the leading edge of providing external or internal customer services areas that will bring about business success. To be a part of a professional and teamwork oriented environment as learning is a continuous process.
Working on ERP
Preparing financial documents such as invoices, bills, and accounts payable and receivable,
Entering financial information into appropriate software programs, processing business expense
Recording office expenditures, Assisting the finance department and senior accounting staff members with various tasks, including preparing budgets, records, and statements
Managing payroll
Handling accruals and prepayments posting daily receipts provide regular analysis of income & expenditure to the senior managers.
Reporting on debtors and creditors
Handling accruals and prepayment
Sorting financial documents and posting them to the proper accounts
Reviewing computer reports for accuracy and meticulously tracing errors back to their source
Resolving errors in financial reports and correcting faulty reporting methods
Payment Tax Line,
Bank: Managing day-to-day transactions
Enter Cost Voucher in ERP for Purchase Construction Material from Vendors
Vendor Statement Business Partner Info The report list details of Business Partner,
Bank, Bank Receipt, Bank Statement Bank Transfer, Load Bank Statement
Job Description:
Receivable: monitoring payment receivable and invoice ageing follow up from customers.
Payable: vendor invoice verification with posting, manager approval for payment (via bank transfer/cheque)
Handling petty cash of office: Ensure daily collections must be deposited to the Company bank account on the next banking day; petty cash advance issued Payments of Utilities like, Petrol, Daily Meal, Tea bags & electricity.
Maintaining: supplier master information through Excel sheet and establishing appropriate credit limits.
Inter-company posting. Cash/cheque sales receipt posting.
Posting and assisting Finance Manager in preparing year end adjustment and closing entries.
Managing customers & vendors payment inquiries and performs other duties as assigned.
• Ensure proper filing and management of Finance related documents and reports.
• Maintaining employee records in SAP by posting all data.
• Working at taxation rate(Filer & Non filer)
• Distribution stock & Manage
• Maintains relationships with employees by providing support, information, and guidance; researching and recommending new opportunities;
• Cold calling to arrange meetings with potential customers.
• Gathering market and customer information.
• Administering Sims Mobile cards safely, monitoring responses to CROs, and documenting the same comprehensively.
• Providing timely, comprehensive and complete Customers documentation by utilizing ownership process, which meets company quality standards
Handling accounts receivable and entire accounts payable-
Receivable: monitoring payment receivable and invoice ageing, follow up from customers, sending reconciled monthly SOA, Bank reconciliation.
Payable: vendor invoice verification with PO & GRN, AP posting, manager approval for payment, payment release as per terms (via bank transfer/cheque), vendor reconciliation.
Goods receipt note (GRN) verification and vendor invoices booking, including freight & customs duty invoice.
Preparation Monthly & Yearly balance sheet report to CEO
Handling petty cash of office – petty cash advance issued.
Preparing & reconciliation of staff advances as per company policy.
Payment of Utilities like, Petrol, Daily Meal, Tea bags & electricity.
Maintaining supplier master information through Excel sheet and establishing appropriate credit limits.
Inter-company posting. Cash/cheque sales receipt posting.
Posting and assisting Finance Manager in preparing year end adjustment and closing entries.
Managing customers & vendors payment inquiries and performs other duties as assigned.