概要

To find a position in an organizational environment that utilizes my skills and knowledge and lead the organization being strategic partner of top management team of organization. I will make efforts to win the trust of management by using my all qualities like honesty, punctuality and integrity. I will convince my seniors about my work & plans and this is useful for the growth of company.

I am also good hand in following feilds:-

• Office Accounts Management • Bookkeeping (Cash Book, Journal, General Ledgers, Trial Balance, Profit & Loss Accounts) • Accounts Payable, Receivable, Payroll & Internal Audit Coordination • Banking (Teller & Consumer) • Warehouse/Store Operations, • Proficiency with MS Office • ERP Software Operating • Multi-Tasking • Cash Management • Office Banking Matter Management • Inventory Control Management • Public Relationship Development • Distribution & Logistics Management • Procurement Management • Indoor & Outdoor Product Selling • Organizational Housekeeping • Merchandising • Front Office Management • Budgeting

项目

5TH & 8TH Class Educational Survey in Government Schools (Primary, Middle)
Benazir Income Support Programme (Survey Conducted)

工作经历

公司标识
Assistant Executive (Post Sales Services)
Jubilee Life Insurance Company Limited
Jan 2018 - 代表 | Sahiwal, Pakistan

公司标识
Accountant Cum Admin Officer
Al Badeea Real Estate (On Vacations looking job in Pakistan)
Oct 2016 - Nov 2017 | Dubai, United Arab Emirates

• Daily Cash management and Banking matter regarding cash and cheques deposits
• Maintained monthly Tenants Ejari record
• Display Commercial and Residential premises to tenants and explain their features
• Maintained of premises details, Tenant Register, PDC’s and Security Deposits lists.
• Preparation of monthly Debtors and Creditors (Vendors) Reports
• Preparation of Online Ejari (Tenancy) Contracts and DEWA (Dubai Electricity & Water Authority) Green Bills settlement of tenants
• Ensure Recoveries or Collections of Rent with coordination with tenants
• Ensure month end closing activities like Aging, Tenants details, Filing, Cash Closing, Bank Reconciliation etc.)
• Maintained daily petty cash report and all expenses
• Checking monthly rental parking list
• Prepare LPO (Local Purchase Order) on daily basis and reconcile accounts with purchases

公司标识
Accounts & Sales Coordinator
Alfalah Business Group (Home Appliances Lease Business)
May 2015 - Oct 2016 | Sahiwal, Pakistan

• Front Office management regarding walking customer
• Cash management like petty cash expense, cash collection as recovery & bank deposits
• Stock Management like Stock Demands/purchase, Inventory In/Out, Damages, and Claims etc.
• Calling to Account Receivables and Repayments of Installments & full settlements
• Preparation of Customers bills (Cash & Credit) and Aging Reports, Recovery, Salaries, Vehicle Log books etc.
• Monitoring all Administrative or in house activities of the branch regarding Sales, Recovery Staff & Display Stock
• Maintained Office Records in Soft & Hard shapes & Conduct Physical Stock Taking Periodically
• Used Pinnacle Software for office sales accounts, now new software ERP (Honey Comb lite) using
• Use Office Equipments like Computer, Scanner, Printer for different Reports as needed by Head Office

公司标识
Branch Manager
G.R. Brothers (Sole Partner Gulf Oil Middle East Ltd)
May 2013 - Apr 2015 | Sahiwal, Pakistan

• Petty Cash Management for daily branch expense

• Stock Management like Stock Demands, Inventory In/Out, Excess/Short, Damages, and Claims etc.
• Prepare Daily & Periodic Stock Reports for Stock Confirmations with Head Office
• Conduct Physical Stock Taking with Warehouse Incharge as per product ledger
• Arrangement of Logistics (Transportation) for delivery of Stocks to Dealers as per orders city wise
• Maintained Credit Bills & Recoveries according to Aging Reports from dealers (Customers)

• Manage all banking matter regarding Accounts Receivables & Office Expenses

• Preparation of Bank Reconciliation Reports
• Monitoring all Administrative Activities of the branch

• Maintained Office Records in Soft & Hard shapes

公司标识
Branch Accounts & Operations Officer
Burque Corporation (Pvt.) Ltd.
Feb 2011 - Apr 2013 | Sahiwal, Pakistan

• Daily Cash Management like Cash received, bank deposits on daily basis
• Preparation of Claims (Damage, short/Excess, Expiry etc.)

• Maintained record of credit bills (Accounts Receivable) and daily issuance of credit bills to order bookers for recovery purpose and returned back unrecovered credit bills
• Preparation of daily closing reports and periodic reports for Head Office
• Manage Branch Accounting & Operational Matters like Warehouse maintenance, Vehicle Repairing & Maintenance, Petty Cash Expense Report & vouchers, Staff salaries, Employees issues etc.
• Operating Oracle based ERP software of Accounting & Sales accounts
• Maintained Target Vs Achievement Reports on Daily Basis with coordination sales staff

公司标识
Junior Relationship Manager (JRM-Assets)
NIB Bank Limited
Mar 2008 - Jan 2011 | Sahiwal, Pakistan

• New Account Opening likes (Saving, Current, Business) and ensures deposits to maintained customers accounts

• Follow Go to Market Strategy for Customer motivation & development for Financing activities
• Follow all Loan Application procedures like Filling, Signing from Customer, Processing in related department etc.
• Ensure ECIB Reports & Data Check of Loan demanding Customer for his credit history and repayments behaviors
• Follow all banking policies related to loan approval, disbursement, repayments etc.

• Maintained Daily Delinquent Data of the Customers and daily call and visit for collection and recoveries
• Operating Banking Software Temenos T-24 Live according to the Authentication (Cash Receipt & Payment as Teller, Customers Installment, Balances and Due Amounts, aging etc.)

• Coordination in daily Operational Banking Matter with branch banking operation staff
• Participate meetings to the senior managers regarding deposits, financing targets from time to time

公司标识
Accounts Officer in Eff Dee Water Company (Nestle Distribution)
Nestle Pakistan Limited
Jan 2006 - Mar 2008 | Lahore, Pakistan

• Preparation of Vouchers, Invoices, Cash Book, Journal Ledger Books of Accounts Manual as well as Data Posting into Nestle ERP Software
• Booking & accounting of all invoices, debit notes, employee claims, travel and other advances, government dues etc in the system and ensure that payments are released to suppliers, contractors, employees and customers

• Reconcile Periodic Reports with Nestle Pakistan Ltd Regional Office

• Maintained Filing Record of Vendors, Nestle Schemes, Claims like Leakage, damages etc.
• Compile daily stock report after complete verifications of physical stock in the warehouse

• Ensure Daily Approval of Petty Cash expenses from Managing Partner
• Daily Sales posting into Software and prepare daily sales report to Nestle Staff & Managing Partner

• Daily Settlement of Merchant Machine (Credit Card Machine) reconcile cheque collection with bank
• Prepare Credit Bills on monthly & semi-monthly basis and ensure deliver to customers

公司标识
Accountant
Shoaib Salman Textile Mills
Oct 2000 - Dec 2005 | Sahiwal, Pakistan

• Maintained all HR related matters like Daily Attendance, Leaves, Overtime, Mess (Kitchen) Checking & verifying reports Office & Factory Staff

• Maintained Leave Register & Overtime Records of the Labor Department
• Preparation of Vouchers, Invoices, Cash Book, Journal Ledger Books of Accounts Manual as well as Data Posting into FoxPro Software

• Preparation of Payroll/Salaries of the Office & Factory Staff
• Ensure Govt. Payments like EOBI, PESSI, Sales Tax Returns according to INPUT/OUTPUT value on monthly basis

• Handle Banking Matters on Daily Basis (DD/TT/PO/Cheques Deposit and Withdrawal from Bank) and also ensure payments of vendors for raw material according to aging
• Co-ordination with Internal and External Auditors which includes balance confirmation and sending letters to parties as per list provided by Auditors
• Open Letter of Credit (LC) Bills for Machinery export purpose
• Maintained Bank Reconciliation Reports Periodically with different banks, File Records of Vendors & Customers

学历

Virtual University of Pakistan
硕士, 工商管理硕士学位, M.B.A - Finance‎
Business Management, Accounting & Finance, Marketing Management
CGPA 2.7/4
2014
Allama Iqbal Open University (AIOU)
大专, B.Ed‎
Development of Education in Pakistan, Pakistan Studies, English Language Teaching
Completed
2013
Bahauddin Zakariya University
学士, , Bachelors in Arts‎
Education, Islamic Studies, Punjabi, Education studies
所占比重 60%
2003
Punjab Board of Technical Education Lahore
中级/A级, , Diploma in Commerce‎
所占比重 60%
1997
Board of Intermediate & Secondary Education, Multan
大学入学/0级, , Secondry School Certificate‎
所占比重 67%
1995

技能

熟练 AAccounting
初学者 Auto Loans
熟练 Bank-Consumer
熟练 Branch Accounting
初学者 Clain Management
熟练 Commercial Finance Knowledge
熟练 Commercial Retail Banking
熟练 Debt Collection and Recovery
熟练 Handling Assignments
初学者 Individual Contributor
初学者 Invoice Discounting
熟练 Japanese & Korean Language Proficiency
中级 Lead in
熟练 Microsoft Outlook
熟练 Payroll Management
熟练 Payroll Processing
中级 Peachtree Command
熟练 Reconciliation
熟练 Retail Loans
初学者 SME Finance
熟练 Social Welfare Management
初学者 Stitching Skills
熟练 Stock Control
中级 Tally Software
中级 Teller Services
中级 Warehouse Manager
初学者 Warranty Quality Assurance Process
熟练 تخصيص المركبات
初学者 تسوية المدفوعات
熟练 رعاية العميل

语言

熟练 英语
熟练 旁遮普语
熟练 乌尔都语

Shakeel 联系人

Iqbal Haider
Community developmet public school ziarat talsh dir lower
Behzad Ali Ali
Sharaf Logistics Pakisatn (Pvt) Ltd