Objectives
Looking for a position in an organization that utilize my skill, experiences and offer career growth in a challenging environment.
Goal
My current goal is to better my standing in the world of Professional accounting and Finance. In the short term, I hope to become a full-time Monitoring Evaluation Officer. Long-range plans include obtaining a higher degree in Accounting Finance.
To be part of a prestigious Organization Where existing, competitive, challenging and friendly environment, where I could not only apply my expertise for an overall improved output of the organization, but also enhance my know how and capabilities.
Responsibilities:
Establish and implement financial procedures and principles.
Preparing payments by verifying documentation, and requesting disbursements.
Establish and preparing accurate and timely information for budget monitoring and
progress reporting of project funds.
Monitoring Cash Book, Ledgers Accounts & Bank Reconciliation Statement.
Disbursement of Cash advances and reconciliation to ensure recovery.
Collect information for and prepare payroll payments for employees.
Preparing financial reports and interpreting financial information to managerial staff
while recommending further courses of action.
Build relationships and interact with clients to provide excellent planning, consulting and
expertise
Responsible to legally minimize tax liabilities through informed application of tax laws
and regulations
Responsibilities:
Ensures compliance with established internal control procedures by examining records,
Financial reports, expenditure Accounts, and documentation.
Verifying assets and liabilities by comparing items to documentation.
Completes audit work-papers by documenting audit tests and findings.
Maintains internal control systems by updating audit programs and questionnaires;
recommending new policies and procedures.
Contributes to team effort by accomplishing related results as needed.
Responsibilities:
Prepared payments by verifying documentation, and requesting disbursements.
Online payments of Income Tax & Sales Tax challan.
Prepared Monthly, Quarterly, & yearly Expenditure Accounts.
Preparation of Cash Book, Log Book and Measurement Book.
Maintained & Prepared Stock Register and Stationary Register.
Preparation of Bank Reconciliation Statement.
Managed financial departments with responsibility for Budgets, Forecasting, Payroll
Maintaining Payment Accounts of Contractor & Consultants.
Reporting to higher management as required
Responsibilities:
Maintaining & Preparing Cash Book & Stock Register.
Maintaining & Preparing Daily, Monthly & Yearly Expenditure Accounts
Maintaining & Preparing of Staff salaries Accounts.
Maintaining & Preparing Staff Advance Account & Staff Bonus Accounts.
Monthly Fee Collection.
Maintaining & Preparing Student Information Database.
Preparation of Assets Accounts.
As internee in Accountant General Peshawar, kpk .
Responsibility:
Pre audit and post audit.
Working sections:
1: account .
2: G.P Fund.
3:pension.
4: Payroll. Etc