Extensive and diverse accounting experience in treasury management, credit, collections, cash application, billing, month-end accounting close, general ledger analysis and month-end financial procedures and reporting.
Highly proficient in Microsoft Word, Excel
1-All Payments records, Account Receivable,knocking off payments and Updated all Ledger of Client Agencies.
2-Daily Basie's Make USA CTS (Commercial Transmission Schedule)
3-Daily review of capacity utilization dropages by CTS to avoid revenue loss.
4-Daily Reconciliation of As run with third party i.e.Media Bank,R Track , Media Monitoring
5-Daily reconciliation of As run log CTS(Certificate of Transmission Schedule) to ensure that all aired commercial are billed
6-Daily, weekly, monthly, quarterly, bi annually and annually reports to management
7-Any other assignment given by management.
8-Reporting to PBA(Pakistan Broadcasting Association)
9-Written and Verbal Communications
10-Data Entry
11-Analysis
Note
-Monthly coordinated With Sale Team Reconciliation Discussion Target vs Actual Recovery.
-Discussion With Management Regarding Bulk Discount Early Payment Discount.
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