概要

Having more than 5-year Experience in serving the prestigious & esteemed organizations performing the diversify roles in accounts, finance & procurement departments. Moreover, experience in general accounting including financial reporting bank and party ledger reconciliations accounts receivable, accounts payable, financial statements, and providing accurate financial information with strong command over business administration. Possess an MBA with a focus in accounting field. A highly responsible, strategic thinker, adaptable, ability to work independently, creating effective presentations, and with a high level of analytical and problem solvingskills significantly contributed in corebusiness activities.

工作经历

公司标识
Accounts Officer
Hamid Leather
May 2020 - 代表 | Karachi, Pakistan

Duties & Responsibilities:
• Administrating payrolls and controlling income and expenditure.
• Preparation of Financial Reports. Trial Balance, Profit and Loss 
Account, Balance Sheet and Cash Flow Statement.
• Supplier Monthly Reconciliation and processing the payments as per 
the credit terms.
• Managing Cash flows, Fund & working Capital Management.
• Reconcile accounts payable and receivable.
• Document and Audit financial transactions by analyzing accounting 
options.
• Gather, track, analyze and present summarize current financial 
status by collecting information; preparing balance sheet, profit and 
loss statement and other statement.
• Verify, allocate, post and Reconcile financial discrepancies by 
collecting and analyzing account information.
• Handle and Support month end and year end closings.
• Making and filing of I-form and E-form on Weboc system.
• Filing of Rebate documents in Weboc and follow-up till approval or 
print cheque and remove discrepancies if any arise. Reponses to 
documents requested as requested.
• Prepare, review and compile import costing and presented to 
management.
• Prepare and submit relevant documents for DLTL in time and 
accurate manner, for example: E-form, GD, Invoice, Shipping 
Documents (MBL/BL/MAWB/HAWB), Copy of Freight Invoice, Copy 
of Certificate from the Association, and Copy of Annexure A.
• Compute taxes and prepare tax returns. E-filing monthly sales tax 
return of withholding Taxes against suppliers.
• Calculation of tax Liability on salaries of staff.
• Consolidated data from all units for sales tax withheld on payments 
to suppliers ((registered and un-registered).
• Preparing of payment and generating tax challan on web site of FBR.
• Communicate with Manager and/or Director on work status and 
client issues that arise.
• Communicate effectively with clients and contribute to a strong client 
relationship through positive interactions with client personnel.

公司标识
Accountant
Willing Ways
Aug 2018 - Apr 2020 | Karachi, Pakistan

Duties & Responsibilities:
• Maintain detail record of vendors, product quality, cost in Internal data
base.
• Compare and evaluate offers from suppliers and Negotiate terms of
pricing.
• Coordinate with purchaser to procure quality of product at reasonable
price.
• Ensure that the products and supplies are high quality
• Develops and implements strategies for procuring, storing, and
distributing goods or services and maintaining stock levels.
• Managed full cycle of accounts such as account payables, receivables,
revenues, payroll, purchasing, making financial reports and other
reports with month end closing.
• Conduct Month-end and Year-end closing via collecting, analyzing and
summarizing financial information and report to Principal.
• Overall responsibility of the department.

公司标识
Accountant
Shabbir Brothers
Nov 2013 - Jun 2017 | Karachi, Pakistan

Duties & Responsibilities:
• Facilitate sales order process from initial receipt, confirmation and
updating through timely delivery.
• Efficiently managed payables and receivables including reconciliations,
payroll, maintaining recovery report and general ledger functions.
• Corresponding with parties & view different issues on phone.
• Dealt with all purchase ledger enquiries and gained experience
handling supplier accounts. Prepare Party outstanding statements.
• Updated an integrated stock control and purchasing system & Prepare
stock Report & inventory management.
• Making Bank Report and Bank statement reconciliation & Party ledger
reconciliation.
• Analyzed, examined, and interpreted account records, compiled
financial information, and reconciled reports and financial data.
• Performed Procurement activities as dealing with Vendors when needed.

学历

Sindh Madressatul Islam University
硕士, 工商管理硕士学位, MBA in Supply Chain Management‎
Supply Chain Management
CGPA 3.5/4
2019
University of Karachi
学士, 贸易学士, ‎
Commerce
2015

技能

熟练 Accounting+
熟练 ADABTIBILITY
中级 Advance Exel
中级 Analytic Reporting
熟练 Bank Reconciliation on
熟练 Branch Accounting
熟练 Build Strong Teams
中级 Command in Science
中级 Costing Management
中级 Custom weboc
熟练 Deadline Driven
中级 E-Filing
熟练 Employment Forms Processing
熟练 Japanese & Korean Language Proficiency
熟练 Micorost Excel
熟练 Micorost Word
中级 Oracle
熟练 Payrool Processing
熟练 Record Keeping
熟练 Social Studies Subject Command
熟练 Social Welfare Management
熟练 Tax Preparation Skills
熟练 Voucher Management

语言

熟练 乌尔都语
熟练 英语