概要

The TAQ Organization (TAQ Wholesalers (Pvt) Ltd 03-May-11- Still Continue

SR. Accounts Executive
• Posts customer payments by recording cash, cheques, and credit card transactions. Posts revenues by verifying and entering transactions form lock box and local deposits. Updates receivables by totaling unpaid invoices.
• Prepare Different Kind of Tax Deduction working.
• Maintains records through invoices, debits, and credits. Verifies validity of account discrepancies by obtaining and investigating information from sales, trade promotions, customer service departments, and from customers;
• Prepare Accounts on monthly basis
• Summarizes receivables by maintaining invoice accounts; coordinating monthly transfer to accounts receivable account; verifying totals; preparing report. Protects organization's value by keeping information confidential.
• Post journal entries Prepare accounts receivable, payable and bank statement reconciliation Work with the finance team on yearly forecasting efforts. Maintaining daily patty cash transactions
• Submitting Month wise E filling. Prepare Bank Reconciliation Statements Month wise. Manage accounts required for financial information

• Sharif Jewellers (Whole Sale Dealers in Gold Jewelry) 11-Jun 2008 to 1st May-11.
Accountant
• Preparing different reports for administration’s information
• Manage accounts required for financial information

• Ali Murtaza Associates (Pvt) Ltd. 01- Oct- 2006 to 01-Nov- 2007.
Accounts Assistant & Computer Operator
• Preparing different reports & parties’ ledgers on peach tree software. Manage accounts required for financial information.
• Manage Stock Control at Store room through manual & systematically

工作经历

公司标识
Sr. ACCOUNTS EXECUTIVE
The TAQ Organization
May 2011 - 代表 | Lahore, Pakistan

The TAQ Organization (TAQ Wholesalers (Pvt) Ltd 03-May-11- Still Continue

SR. Accounts Executive
• Posts customer payments by recording cash, cheques, and credit card transactions. Posts revenues by verifying and entering transactions form lock box and local deposits. Updates receivables by totaling unpaid invoices.
• Prepare Different Kind of Tax Deduction working.
• Maintains records through invoices, debits, and credits. Verifies validity of account discrepancies by obtaining and investigating information from sales, trade promotions, customer service departments, and from customers;
• Prepare Accounts on monthly basis
• Summarizes receivables by maintaining invoice accounts; coordinating monthly transfer to accounts receivable account; verifying totals; preparing report. Protects organization's value by keeping information confidential.
• Post journal entries Prepare accounts receivable, payable and bank statement reconciliation Work with the finance team on yearly forecasting efforts. Maintaining daily patty cash transactions
• Submitting Month wise E filling. Prepare Bank Reconciliation Statements Month wise. Manage accounts required for financial information

公司标识
ACCOUNTS
Sharif jewellers
Jun 2008 - May 2011 | Lahore, Pakistan

学历

University of the Punjab
学士, , B.Com‎
Commerce
所占比重 54%
2006
University of the Punjab
中级/A级, , I.Com‎
所占比重 58%
2004
University of the Punjab
大学入学/0级, , Matric in Science‎
所占比重 59%
2002

技能

熟练 Alternative Financial Services
初学者 Audit Assignment Handling
初学者 Casualty Insurance
熟练 Commercial Finance Knowledge
熟练 Conservation Awareness
中级 Credit Collection Recovery
熟练 Finance background
熟练 Handling Assignments
中级 Internal Audit Command
熟练 Internal Controls
中级 Internet Banking
中级 Liability Insurance Knowledge
初学者 Life Insurance Knowlege
熟练 Mobile Banking
熟练 Payroll Processing
熟练 Public Finance
熟练 Revenue Recognition
熟练 Sales Audit
熟练 Social Welfare Management
熟练 Strong Mathematical Knowledge
熟练 Treasury
初学者 مهارات إدارة الأموال

语言

中级 英语
熟练 乌尔都语