Dear Sir,
Please find enclosed my resume in application for the position in Accounts Department with your company.
From my resume you will see that I have considerable experience behind me, having worked at many large organizations.
I am anxious to work in your organization and wish to obtain a role where my skills and abilities will be utilized.
Please consider me a candidate for the job. However in the meantime if you should require any further information or need to seek clarification, please contact me.
Sincerely,
Fahim Ahmed Khan
Recording of transactions in accounting software and engendering different reports to facilitate management and their decisions.
Deduction of taxes from the payment of vendors as per updated clauses & sections implemented by FBR, generating online PSID on FBR portal and deposit into NBP.
Preparing monthly tax statement by consolidating data obtained from CPRs and filling it online to IRIS after online verification of the payment record.
Updating list of employees online at EOBI portal, generate voucher and deposit into NBP.
Computing & maintaining of revenue, expenditures and advance tax reports.
Bank Reconciliations approx. 30+ accounts.
Coordinated in maintaining bank reconciliation, payroll and budgeting on monthly basis.
Besides, also coordinated in doing vehicle registrations, health and life insurance, and other government / semi government, DHA and CBC matters in especial administrative capacity.
Prepared cash book for bank reconciliation.
Maintain the records of all students of all branches.
Prepared fee vouchers for students of all branches.
Prepared computer excel sheets of receivables for all classes of all branches.
Reconciliation of paid fee vouchers with bank statement on daily bases.
Handling the fee structure of all students and prepared defaulters list, branch wise.
Prepared weekly confidential sales & monthly reports for presentation to management.
Prepared sales invoices, refund and agency commission cheques. Continued page 2
Prepared customers ledger, record of payments and maintained petty cash funds.
Introduced Excel database into the office to improve work productivity and efficiency.
Performed all related accounting procedures and functions.
Performed accounts payable functions for construction expenses.
Managed financial departments with responsibility for Payroll, Accounts Payable and Receivable.
Handled work related to monthly billing and sales reports.
Prepared company accounts and tax returns for audit.
Coordinated monthly payroll functions for 200+ employees.
Reported on variances in quarterly costing reports.
Reduced credit period from 90 days to 60 days.
Managed key responsibilities efficiently and earned appreciation from senior team members.
Carried out bank reconciliation activities and managed several client accounts independently.