概要

A self-starting ACCA Professional with strong Accounting Auditing background progressively responsible in performing duties with effective analytical and organizational skills, seeking a challenging and varied position that will enable me to synergize my accounting auditing expertise skills to positively contribute to an organizations objective.

工作经历

公司标识
ASSISTANT ACCOUNTANT
NORD SUD EXPORT FZC
Jul 2018 - 代表 | Sharjah, United Arab Emirates

• Developing and maintaining all accounting records.
• Preparing Purchase Orders, Material Receipt Note (MRN), Payment Vouchers, Cheques & Bank transfers.
• Preparing Monthly Bank Reconciliation of company bank Accounts.
• Checking, Posting and Reconciling Petty cash ledger.
• Responsible for general ledger.
• Reconciliation of individual receivable and payable accounts.
• Maintain a filing system for all financial documents.
• Keeping record of all financial transactions.
• Handling of Receipts and Payments.
• Preparation of quarterly financial statements of the Company i.e. Balance sheet, profit & loss accounts, cash flow statement, related reports and their analysis for the review of higher management.
• Preparing and handling all the import/export shipments and related documentation.
• Preparing and handling all the Custom’s related documentation.
• reparing the VAT Return and VAT Refund for the company

公司标识
AM RECONCILIATION
AFZAL GROUP OF ELECTRONICS
Jan 2018 - Jul 2018 | Lahore, Pakistan

• Tracked inventory and maintained accounts to identify any discrepancies.
• Conducted research and investigation of all discrepancies.
• Updated accounts with accurate information.
• Answered client and customer questions regarding accounts and any discrepancies.
• Notified supervisor of all issues and trends when required.
• Resolved account reconciliation issues quickly.

公司标识
AUDITOR
AFZAL GROUP OF ELECTRONICS
Jul 2016 - Dec 2017 | Lahore, Pakistan

• Assist the Manager of Internal Audit in preparing a risk assessment and a structured audit plan to ensure audit coverage of all significant activities over an annual cycle.

• Participate in the implementation of the annual audit plan through executing the assigned internal audit projects.

• Prepare and develop the audit work programs.

• Complete testing of audit steps listed in the audit work programs in a timely manner.

• Prepare internal audit reports, standard operating policies and procedures (SOPs).

• Coordinate and direct all the assigned audits and ensure that reports on such audits are made to Manager of internal audit.

• Conduct follow-up audits to assess the status of the implementation of the internal audit recommendations.

• Perform other special tasks as instructed by manager of internal audit.

• Conducting and supervising audit.

• Prepare management letter, identifying the internal control weakness in accounting records during the audit and give suggestion to management.

公司标识
Accountant
KBM Chartered Certified Accountant & Registered Auditors
Apr 2014 - Dec 2015 | Lahore, Pakistan

• Preparing, examining, and analyzing accounting records, financial statements, and other financial reports to assess accuracy and completeness according to International Financial Reporting Standards.
• Responsible for preparing monthly Bank reconciliation statement.
• Preparation of outstanding debtors report with the ageing of debtors/creditors.
• Responsible for general ledger.
• Reconciliation of individual receivable and payable accounts
• Research and reconcile all discrepancies.
• Customer’s payments follow up
• Maintain updated vendor files and file numbers.
• Maintain a filing system for all financial documents.
• Keeping record of all financial transaction.
• Handling of Receipts and Payments.
• Monitoring and follow up with all Banks to Deposit cash and timely.
• Reviewing all invoices for appropriate documentation and approval prior to payment
• Prioritizing invoices according to cash discount potential and payment terms
• Process check requests
• Matching of invoices to checks, obtain all signatures for checks and distribute checks accordingly
• Responding to all vendor inquiries
• Reconcile vendor statements, research and correct discrepancies
• Assist in month end closing
• Maintain files and documentation thoroughly and accurately, in accordance with company policy and accepted accounting practices.
• Performing month end closing and ensure that the trial balance agree with general Ledger.

学历

CIA Pakistan
证书, CIA‎
Audit , Fraud Investigation, Risk Management
Completed
2017
CFE
证书, ACCA‎
Accounting & Finance, Auditing
Completed
2017
Al-Khair University
学士, 工商管理学士学位, BBA‎
Commerce
CGPA 3.1/4
2010
Gujranwala Board
中级/A级, 贸易学学生, Intermediate‎
等级 B
2008
, Office managment‎
等级 A
2006
Gujranwala Board
大学入学/0级, 科学, Matriculation‎
等级 D
2005

技能

熟练 Front Desk Responsibilities
中级 Risk Management

语言

熟练 旁遮普语
熟练 乌尔都语
熟练 英语