My responsibilities for accounting work are as follows:
- Manage existing accounts on a daily basis.
- Maintain files of every unit on a daily basis and maintain all there documents.
-Giving Financial Reports to management.(Balance Sheet, Profit and Loss and cash flow)
My responsibilities for Customer dealing are as follows:
-Dealing with customers on phone for receivable balance and also follow up there complaints.
-Explain to them about the charges of the company and the reason for the charges.
Responsibilities for the Accounting work are as follows;
Accounting assignments (Peachtree 2010, Sage 50, QuickBooks 2016, Tally ERP 9)
Creating chart of accounts and settings up inventory, customer and vendor module.
Posting entries, preparing bank reconciliation statements, receivable & payable reports, aging reports, stock reports and financial statements.
Providing advice for selection of accounting policies as per IFRS.
Preparing financial statements in MS Excel.
Others:
Preparing financial statements from incomplete records. Also assuring assertions of financial statements by in detail inspection of documents (reconciling financial statements with it underlying documents and supporting).
Implementation of accounting software i.e. Quick Books.
Responsible for the audit & review assurance, advisory and tax consultancy. My duties are as follows;
Audit& review engagements
Developing overall audit strategy and audit plan as per International Standards on Auditing (ISAs).
Internal control documentations (using MS Visio, Internal control questionnaires), control testing (compliance with control polices and industrial regulations) and evaluation.
Conducting audit in line with audit strategy and audit plan.
Completing audits and preparing reports for the audit manager / audit partner for review. Reports contain major issues, control deficiencies, final variances & trends analysis, adjustment sheets, materiality summary, summary of work performed and drafting management letters & financial statements.
Checking the compliance of financial statements with local laws and International Financial Reporting Standards (IFRS).
Accounting assignments (Peachtree 2010, Sage 50, QuickBooks 2015, Tally ERP 9)
Creating chart of accounts and settings up inventory, customer and vendor module.
Posting entries, preparing bank reconciliation statements, receivable & payable reports, aging reports, stock reports and financial statements.
Providing advice for selection of accounting policies as per IFRS.
Preparing financial statements in MS Excel.
Tax & advisory service
Preparing annual tax returns (Companies).
Providing advice for answering tax notices and preparing records for tax audit.
Forecasting and budgeting.
Creating reports for clients using Pivot table and graphs.
Administrative task
Submitting tender for audit and other assignments.
Preparing salary sheets and bank reconciliation statements of the firm.
Maintaining and keeping trainees’ record. Also corresponds with the Institute of Chartered Accountants for training matters.
Correspondence with clients (e.g. Consent to Act as an auditor).