I have enjoyed 7 years as a Internal Auditor and as a financial Analyst which have been instrumental in equipping me with the knowledge and providing me with the opportunity to develop the skills necessary to succeed in this profession.
At this stage in my career I am interested in expanding my professional horizons by seeking new challenges in subject sector as I continue to pursue my ACCA Certification of UK. My background in private sector has provided me with the opportunity to work with clients in a variety of industries. This has presented me with a diverse range of issues that have allowed me to develop my problem solving skills while effectively working with a variety of different people.
I would welcome this opportunity to meet with you to discuss further, and learn more about your business and Executive job opportunity. My resume, which is enclosed, contains additional information regarding my experience and skills. I would appreciate the opportunity to be interviewed in order elaborate myself better than my resume. I can be reached anytime via my cell phone (+92) 334 266 4023.
Internal Audit:
Audit of Monthly Sales
SAP –JV’s/adjustments reconciliation
Audit of daily vouchers
Payable/Receivable Audit
Discussing Issues with Directors
Trail Balance reconciliation
Tax issues audit
Import Audit
Stock Audit
Working on Monthly Bank Reconciliation
Prepare the profit & loss accounts and balance sheet
Working on payroll
E-Filing.
Overall General Accounting.
Accounts payable/Receivable & General Accounting:
Monitoring all supplier invoices.
Prepare Commercial Invoice of Local/Export
Ensuring price negotiation for materials related to suppliers.
Monitoring returns and rejections promptly with suppliers.
Verify all general items purchases including Petty Cash invoices.
Monitoring purchase requisitions with purchase orders
Preparing of Bill book keeping which includes attachments of DC, Invoice, S.T Invoice, P.O, Order receipt report(ORR), GRN, Rejection Assurance Report (Green/Red Slip) & Exemption certificate(if any).
Maintaining of Vendor’s Ledger Including Aging process & Advance payments deduction.
Reconciliation of Invoice/DC quantity with actual receiving in GRN
Verification of Rejection of material on sample & Actual basis before payment to supplier.
Daily Preparing of check/Demand Draft for the payment against supplier’s Invoices or Advance Payment.
Export Documentation:
Deal with various transporters regarding shipment/rate quotation purpose via email & phone.
Overall Export Documentation.
Preparing of NOC documents & NOC attestation (Form-E, Form-A, Invoice, Summary Report, Packing List, Product COA’s Verification, Undertaking & Cover Letter)
Request for BL/AWB required documents for shipment including ANF Authority Letter
Preparation & submission/Attestation of Certificate of Origin (COO) from Karachi Chamber of commerce & Industry
Send Buyer’s required Document according to L/C requirements or Advance payment Via T/T
Prepare & Submit Bank’s required documents for Payment confirmation purpose
Internal Auditing:
Prepare Internal Audit Plans, Interim Basis plans for physical stock taking
physical count Audit of store (Packing Material Dept., Raw Material Dept. & FGS)
Finalizing & update of Internal Audit Manual with new policies & its procedures.
Payroll:
Overall payroll management
Accounts receivable:
Posting of DC’s on ERP for double entry purpose & also for S.T Invoice.
Prepare sales tax invoices, checking of rates & dispatching it.
Prepare weekly rates revision reconciliation report with S.T Invoice rates & previous rates
Co-ordinate with sales department for customer’s return/rejected material issues
Prepare Credit Note after Verification of material Return Report (MRR)
Co-ordinate with distributors for DC correction purposes & overall DC issues
Prepare Advance payment received reconciliation report of suppliers on monthly basis to ensure the total liability related to suppliers for Balance sheet update
Follow up to client for payment received
Accounts Payable:
Prepare due payment on weekly basis by ageing process
Daily preparation of small payments like petty cash, payroll settlement or small supplies etc.
Preparing & posting of bill book keeping its audit & recording
Made entries of supplier’s invoices other than bill booking like stationary supplies etc.
Responsible for recording of all service providers’ invoices (like Warid, PSO, Car tracker, Security etc,)
Import Payments:
Preparing of Import payments Including prepare Bank’s Form-I,GD amount verification, manifest Invoice reconciliation with original agreed amount, Letters for bank purposes & Verification of AWB/BL