Well-organized and hardworking Accountant with 1 year experience financial audits, reconciling bank statements, and ensuring financial records are accurate. Poised to adjust journal entries , create purchase requisitions,conduct billing, and reconcile ledger statements at Al-khidmat Foudation and deliver impactful results in a new role.
Reconciled 50+ bank statements, averaging 72-hour turnaround,enhancing accuracy by 90%.
Collected and compiled financial data from 5 districts, ensuring 95% data accuracy
Managed and reconciled funds for 10 projects, ensuring PKR 50 million in compliance
Executed adjustments for project funds, optimizing cost-efficiency by 10%
Preparing comprehensive financial statements, including balance sheets & income
Providing weekly reports to the regional office highlighting key financial insights.
Ensured accurate expense tracking and documentation for petty cash
Prepared bank reconciliation to align financial records withbank statements
Managed accounts receivable processes, including invoicing, payment tracking, and collections
Maintained precise cash ledger records
Prepared and analyzed income statements for financial insights.
ERP Experience 1 year +
Peach Tree
QuickBooks Online
Xero accounting software
Written and verbal communication
Decision making
Microsoft Excel
Financial modeling
Use of different models in financial modeling
Microsoft Excel and financial modeling