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 company ledgers,and subsidiary financial systems; preparing payroll,Purchase Order & Invoice Making, Stock
taking,Record maintaining of all Cash transaction, assists in the,preparation of sale tax & income tax return and assigned budgets,annual audit, and year end closing; and provides highly responsible staff assistance to assigned management staff.

تجربہ

کمپنی کا لوگو
Accounts Executive
Humayun Wellchem Trading Concern
مارچ ۲۰۱۴ - موجودہ | Lahore, Pakistan

• Reconciliation of Banks ,Customers and Vendors
• General Journal entries in ERP
• Receipts and Payments in ERP(BPV, CPV, BRV,CRV&GRN)(Voucher documentation )
• Dealing with all company banks accounts
• Cheques making, Cheques Issuance & Receipt report, Un presented cheques list,
• Preparing Payroll
• Making Online Payments from Company Bank Accounts
• Maintaining day-to-day cash inflows and outflows
• Cash Receipt and Payments in ERP and manually
• Maintain record of Imports in ERP and preparing Imports duty sheet.
• Purchase Order & Invoice Making, General ledger responsibilities
• General Ledger on a Monthly basis to ensure accuracy of posting & its balances.
• Maintain proper records of all Banks of the Company
• Daily Fund Position & Stock report
• Stock taking yearly basis
• Reviewing, compiling and financial information.
• Funds requirement report for scheduled Imports on weekly basis
• Managing the account budget and invoice with the client
• Performs Other duties as assigned or required

کمپنی کا لوگو
Accountant (1 Month Trial Period)
Borma Carpentry LLC, Musaffa, Abudhabi, UAE
ستمبر ۲۰۱۳ - اکتوبر ۲۰۱۳ | Abu Dhabi, United Arab Emirates

Done All accounts work of company

کمپنی کا لوگو
Accounts Officer
Noon Group of Companies, Bhalwal, Punjab, Pakistan
اکتوبر ۲۰۱۲ - جولائی ۲۰۱۳ | Bhalwal, Pakistan

• General Journal entries,
• Receipts and Payments (JV, BPV, CPV, BRV, and CRV)
(Voucher Making) & GRN,
• Cheques making, Cheques issuance report, Un presented Cheques list,
• General Ledger on a Monthly basis to ensure accuracy of posting & its balances.
• Bank Reconciliation, Daily Fund Position Preparation, Stock tacking, performs
• Other duties as assigned or required

تعلیم

Virtual University of Pakistan
ماسٹرز, ماسٹرز ان سائنس, Master in Accounting & Finance‎
Accounting & Finance
CGPA 3.1/4
2017
University of the Punjab
بیچلرز, بیچلرز ان کامرس, B.com‎
Accounting
فی صد 50%
2012
Pakistan Board of Technical Education Lahore
انٹرمیڈیٹ / اے لیول, انٹرمیڈیٹ ان کامرس, D.com‎
Accounting
درجہ B
2009
BISE
میٹرک / او لیول, سائنس, Matric‎
Physics, Chemistry, Mathematics
درجہ A
2007

پیشہ ورانہ مہارتیں

ماہر 4 Knowledge of Taxation
ماہر Accounting Software Expertise ERP,Oracle
ماہر Cash Flow Reporting
ماہر Conservation Awareness
متوسط Debt Collection and Recovery
ماہر Handling Assignments
ماہر Inbound Call Handling Skills
متوسط Purchase Procurement Knowledge
ماہر Reconciliation
متوسط Tax Calculations Analysis
ماہر Warranty Quality Assurance Process
ماہر تسوية المدفوعات

زبانیں

متوسط انگریزی
ماہر اردو