In my Accounts and taxation jobs Includes the preparation of financial statements, tax returns, and other financial reports. The office also manages the company's accounts payable and receivable, and ensures that all financial transactions are recorded accurately.
Monthly Sale Tax Return • To Upload/Add monthly Sales in Annexure “C” for submission of Sales tax return • Assist to Operational Manager for Submission of Monthly Sale Tax Return • To Prepare & Make payments of Withholding tax deducted against Services • To maintain the files and records of Income Tax • Maintain creditor’s payments as well as debtor position • The review of Bank Dealing and Monthly Bank Reconciliations • Prepared management reports concerning purchases, sales and inventory • To maintain the files and records of Income Tax • Maintain creditor’s payments as well as debtor position • The review of Bank Dealing and Monthly Bank Reconciliations • Prepared management reports concerning purchases, sales and inventory Purchase/Import Module. (Import of Goods) • Import document Maintain • To Check & Verify Commercial Invoices, Packing List, Country of Origin Certificate, Certificate of Free Trade Agreement (FTA) if applicable, Bill of Lading (B/L) and other documents with LC Terms and Conditions before making the payments to Suppliers.To make sure the incoming of goods according to GD. • To Check GD and Customs paid Challan with payments of Duties and Taxes. • To prepare Stock report and Download Annexure B from FBR Prepare Purchase Register on the basis of GD/Bill of Entries and verify with Annexure “B” for • Directed a team of accountants to ensure efficient workflow • Supervised and trained an accounting staff of 3 people