To join a dynamic organization offering professional growth opportunities where I can apply my knowledge, skills and
experience in financial accounting, to improve the organizational financial performance by implementing internal controls, reporting mechanism, regulatory and legal compliance.
Ensure release of funds as per PC 1 from the allocation of ADP
Opening of new cost center and allocation of payroll section in AG office
Ensure accounting for all budgets in accordance with the PC 1 approved budget
Prepare budget tracker and funds utilization sheet on monthly basis
Recording of financial transactions in QuickBooks
Ensure maintenance of financial record with proper filing
Pre-audit of the operational bills and salary bills
Manage the release of re-validation cheques from previous financial year
Assist in the procurement process starting from bidding doc’s to award of contract
Follow up from P&SHC Department, Development wing, FD, AG office, Treasury office and P&D for related tasks
Ensure release of funds as per PC 1 from the allocation of ADP
Opening of new SDA account for PPHA
Ensure accounting for all budgets in accordance with the PC 1 approved budget
Prepare budget tracker and funds utilization sheet on monthly basis
Recording of financial transactions in QuickBooks
Ensure maintenance of financial record with proper filing
Pre-audit of the operational bills and salary bills
Follow up from P&SHC Department, Development wing, FD, AG office, Treasury office and P&D for related tasks
Preparation of financial statements and get them audited from auditors
Finalization of payroll and disbursement through pay system
Booking of receipts and bank reconciliation statements
Reconciliations of revenue and aging of trade debts
Filing of Sales tax (Provincial & Federal) and WHT returns
Budgeting, Project costing and variance report
Dealing with bank for guarantees and leases
Filling of online SECP statutory returns
Administrator of accounting software and supervise data entry
Review of vendor invoices for appropriate documentation and approvals prior to booking in system
Monthly payable report
Vendors management
Adjustment of employee expense claims and advances
Revenue management
Assist in monthly and annually closing
Maintain files and documentation thoroughly and accurately, in accordance with company policy
Manage bank accounts, deposits, withdrawals & disbursements
Handling of petty cash
Entries for all cash and bank related payments in system
Advance to employees for project mobilizations
Monthly outflow report of banks and petty cash
Booking of payroll in system