概要

Accounting Professional with Masters Degree in Accounts & Finance having more than 10 years of Experience. Hardworking, Honest, Quick learner & Efficient worker for any organization & sound knowledge of Accounting & experience.

工作经历

公司标识
AM ACCOUNTS
Karachi Shipyard & Engineering Works Ltd
Mar 2018 - 代表 | Karachi, Pakistan

• Monitor and analyze accounting data and produce financial reports.
• Manage all aspects of the finance function including general ledger, fixed assets, accounts payable, accounts receivable, petty cash and bank reconciliation.
• Establish and enforce proper accounting methods as per rules and regulations.
• Preparation of Quarterly Accounts.
• Assist the Controller in the daily banking requirements.
• Advises staff regarding the handling of non-routine reporting transactions.
• Attend tenders & checking all documents of the bidders.
• Liaise with external auditor to finalize quarterly and annual accounts.
• Any Financial task by the Management.

公司标识
Assistant Manager Accounts
Khan Medical Supplies
Jan 2017 - Feb 2018 | Karachi, Pakistan

• Supervising and coordinating subordinates to ensure in smooth accounting.
• Handling Self-Correspondence with all Business Clients, Suppliers and Banks.
• Check & Controlling Bank Reconciliation & Cash Book.
• Prepare & Distribute Salary of the staff.
• Controlling Debtors & Creditors and preparation of debtors & Creditors Outstanding list and reporting to Management.
• Make payments to Supplier and resolve issues.
• Also Check Stock with Store Keeper.

公司标识
Accountant
Inthar Safety & Security System LLC
Oct 2014 - Dec 2016 | Sharjah, United Arab Emirates

• Preparation of the LPO & Sales Invoices.
• Check & verification of the Accounts Payable & Receivable System.
• Prepare invoices for Various contracts of the company.
• Prepare monthly bank reconciliation & monthly closing reports.
• Prepare Salary & other payroll functions such as overtime calculation, leave salary & gratuity.
• Prepare cheques & monthly payments to supplier.
• Posting of all types of vouchers & controlling of Petty Cash.
• Make statement for the customers & control of Receivables.
• Checking of Stock vouchers& verification of stock.
• Monthly reporting with Internal Auditor.
• Recording & Allocation of expenses.
• Prepare quarterly Accounts for the company.
• Any other Accounting requirement from Directors of the company.

公司标识
AM -FINANCE
Digicom Trading (Pvt) Ltd.
Mar 2013 - Oct 2014 | Karachi, Pakistan

• Recording & Reporting of Current & Non Current Liabilities.
• Prepare BBFS & Filling of Loan Application Forms of banks.
• Computation & reporting of Finance Cost.
• Check & Verification of LC wise GL posting & Payment of LC charges and related expenses and Bank Liabilities.
• Assisted finance manager and worked with external auditors to prepare financial reports.
• Liaison with business related organizations such as Banks & Financial Institutions.
• Evaluated account payable and resolved issues with suppliers.
• Coordinated with finance team and resolved all accounting problems.

公司标识
Accounts Officer
New Allied Electronics Industries (Private) Limited
May 2007 - Mar 2013 | Karachi, Pakistan

• Responsible for updating liabilities of the Co. from financial Institutions.
• Maintains Computerized Accounts such as general ledger, purchase ledger, creditor’s ledger, and debtor’s ledger.
• Handle cash flow report & monthly bank reconciliation reports.
• Assist in the Preparation of Accounts, calculation of mark up & lease rentals.
• Prepare tax summaries & stock reports.
• Manages and follows-up banking transactions including LCs, guarantees etc and liaison with financial institutions.
• Assist in maintaining fixed asset register.
• Monitor payment to the suppliers.
• Executes any other tasks and responsibilities assigned by Management.

公司标识
Assistant Accountant
S. Ejazuddin & Co (Sysmex)
Jan 2006 - May 2007 | Karachi, Pakistan

• Responsible to maintain order book & follow up supplies of goods.
• Maintain cash book & its reconciliation.
• Maintain & Reconciliation of Stock.
• Updating of daily branch accounting transaction & remit payment to head office.
• Responsible to prepare and maintain record of D/Cs & invoices.
• Maintaining tight control on the funds in the various bank accounts.
• Prepare outstanding list of invoices & monitor their recovery.
• Posting of utilities bills & E- filing of the tax returns.
• Prepare salaries vouchers & cheques.
• Aging of debtors & creditors balance.

学历

University of Karachi
硕士, 贸易硕士学位, Masters in Economics & Finance‎
Accounting
等级 C+
2008

技能

中级 Audit
熟练 finance
中级 Taxation
中级 4 Knowledge of Taxation
熟练 Accounnts Management
熟练 Account Management
熟练 Accounting
熟练 Accounting Applications Command
熟练 Accounting Cycle
中级 Accounts
中级 Accounts Finalization
中级 Accounts Finialization
熟练 Accounts Reconciliation
熟练 Accurate Record Keeping
中级 Analyze Financial
初学者 Audit Assignment Handling
熟练 Auditing
中级 Balance Reconciliation
熟练 Bank Reconciliation on
熟练 Banking Affair
熟练 Banking and Financial Services
中级 Business Loans
熟练 Cash Handeling Skills
熟练 Computer Proficient
熟练 Cooordination Skills
熟练 Coordination
中级 Corporate Finance
中级 Cost Controling
熟练 Daily Reports Management
熟练 Data Comparison
熟练 ERP Financial Command
中级 Excellence Management
熟练 Excellent Communication
中级 Finance Consulting
初学者 Financial Analysis
中级 Financial Reporting Standards And Statutory
中级 Financial Statement Analysis+
熟练 Financial Systems
初学者 Funds Management
熟练 Invoice Discounting
熟练 Japanese & Korean Language Proficiency
中级 Microsoft Excel
熟练 Network Security Administration
熟练 Office Management
熟练 Payments and Settlements
中级 Payroll Management
中级 Payroll Processing
中级 Peachtree Command
熟练 Record Keeping1
熟练 Remittances and Trade Finance

语言

中级 阿拉伯语
熟练 英语
熟练 乌尔都语

Mohsin 联系人

JAWAD KHAN
Master Group of industries (Z&J Hygienic Product PVt Ltd.