A Candidate focused on the following road that leads to learn new things in life regarding career, future planning, social services. To build a career in the world of business and development and to provide new creative ideas to help others in the process of creating a successful career.
• Maintain expense trending report and analyze on a monthly basis.
• Increased efficiency, support and documentation of accounting processes by creating detailed schedules for journal entries.
• Maintain financial reports, records, and general ledger accounts.
• Meet processing and reporting deadlines.
• Completed end-of-year financial audits by collaborating with various coworkers.
• Promoted continuous workflow and issue resolution through communication and identification of conflicts.
• Answer accounting and financial questions by researching and interpreting data.
• Assist in establishing process for financial forecasting, budgets and reporting.
• Review Vendor payable calculations, daily accounting transaction for accuracy.
• Prepare financial statements, weekly reports, financial dashboards.
• Customer & billing, Operational analysis.
• Assist the Manager Finance as needed.
- Oversaw the management of all company accounts (Official).
- Processed vendor payments and other main aspects of financial transactions.
- Managed accounting Heads (Official) and ensured that all accounting records were complete and accurate.
- Explained financial by making Liquidity Report to GM Finance within the department in a comprehensive way.
- Remained professional and discreet when handling sensitive or private financial matters.
- Working closely with G/L & Bank reconciliation provide them on priority.
- Maintain Stock position (Includes Custom Duties, Clearing Expenses)
- Managed branch accounts by analyzing collection against revenues & Report to Head of Department divisional wise.
- Projected future trends based on analysis work on Collection against Revenues.
Managed complex expense reporting.
- Develop strategies for minimizing errors made by branches to effectiveness in making financials.
- Work closely with auditors during all audit processes (Related job description).
- Performed Tasks efficiently for the purpose Treasury related functions & Investment portfolios.
- Organized Sales & Collection report to analyze & forecast future Collection.
- Prepare, review, and submit crucial reports to management to make plans for company goals.
- Make good relationships with Banking Sector for providing necessary details of Collection & Payment facility (Cash Management)
- Responsible for All Credit Transaction falls on all Bank Accounts (includes all bank accounts of 28 branches).
- Analyze & Reconcile Balances for Branch's Petty Cash & Collection Accounts.
- Overview Bank Statements for Online receipts, responsible of making transaction for Bank to Bank Transfers (RTGS and other means of transaction) in requirement of shortage funds in Banks.
- Prepare & Allocate (Divisional & Branch wise) Mark-up Charges & Cash Management Facility Charges.
- Responsible for G/L Reconciliations: Branch's Bank Accounts, Suspense Account, Cash in Transit, Prepayments, Advances to Employee, Investment Account (long & short term), Accounts Receivable, Interbank Transfers, Tender Deposits.
I have experienced other than this is worked as cashier and accountant at Iqra Ahsan ul Atfal was my First Job. After leaving that i joined Arwa Business Consultancy done job there for 3 months on conractual basis.
Worked as Financial Consultant of Schooling for contractual period
Worked as Cashier there and managed Administration of school also