概要


  • Prepare and maintain cash flow analyses as needed.

  • Analyze monthly financial statements (balance sheet & income statement) and effectively convey analysis to staff as requested.

  • Assist in preparing year-end books for audit.

  • Ensure operational compliance with policies, procedures and regulations for any necessary entities.

  • Monthly E-Filling (Sales tax return).

  • Monthly filling of Withholding Tax return statement.

  • Making WHT & IT returns, Payment & Challans online.

  • Process vendor payments and check requests.

  • Prepare Daily Bank Position.

  • Reconcile bank accounts and general ledger accounts as assigned.

  • Reconciliation of Sales Tax & Income Tax with Tax department before deposits.

  • Daily product wise costing, production & sales reports including plant efficiency & daily yield

  • Assist in reconciling all balance sheet and income statement accounts on a Monthly/quarterly basis as indicated by the monthly closing schedule.

  • Checking of sales tax invoices & all type of vouchers.

  • Perform basic office management duties as requested.


工作经历

公司标识
Accounts Manager
National Spinning Mlls/National Industries
Jan 2020 - 代表 | Hyderabad, Pakistan

公司标识
Accounts & Finance Manager
Alkemy Pharmaceutical Laboratories (Pvt) Ltd.
Nov 2011 - Jan 2020 | Hyderabad, Pakistan


学历

University of Sindh
硕士, 工商管理硕士学位, ‎
Finance
2016

技能

熟练 Advance Planning

语言

中级 英语