概要

Banks Reconciliation
Reconcile all banks follow up pending entries in BRS.
Follow up of wrong entries in BRS.
Follow up of Receiveables from parties reconcile parties ledgers.
Company Outlets (Menu Shops) Sales Reconciliation.
Prepare Day Book of Head Office
Checking of Day Books ( Other Regions Offices, KHI, Pindi, Factory)
Checking of GRN (Goods Receipt at Factory) P.O
Handle Petty Cash
Handled Payroll of Company Employees.
Process EOBI Social Security Submission to Govt Account.
Monthly P.F deduction of Employees collect contribution of Employer submit in P.F Trust Account.
Posting payroll Entries ( Payable, EOBI, Social Security, PF)
Make Full Final Settlments of Employees who left job.

工作经历

公司标识
accountant
Seasons Foods Pvt. Ltd
May 2012 - 代表 | Lahore, Pakistan

学历

University of the Punjab
学士, , ( B.Com )‎
Matriculation with Science
所占比重 59%
2009
Beacon College of Commerce Pakpattan Sharif
中级/A级, , D.com‎
所占比重 70%
2007
Govt High School Basir Pur Town Okara
大学入学/0级, , Matric in Science‎
所占比重 59%
2005
University of the Punjab
硕士, , ‎
所占比重 %

技能

熟练 Financial Statement Analysis+
熟练 Handling Assignments
熟练 Invoice Discounting
熟练 Japanese & Korean Language Proficiency
熟练 Sales Audit
熟练 Social Welfare Management
熟练 مهارات إدارة الأموال
熟练 Voucher Management

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