概要

To work for challenging environment and exposure the new work methodology, to enhance my skills & capabilities by the working with highly reputable organization like you and to contribute on organization goal in dynamic and challenging environment.

项目

WAJID ABBAS

工作经历

公司标识
DY.MANAGER AUDIT
Habib Rafiq International Private (Ltd)
Mar 2017 - 代表 | Lahore, Pakistan

ACCOUNT/FINANCE DEPTT,ADMIN DEPTT,STORE DEPTT,MECHANICAL WORKSHOP DEPTT,TIME OFFICE & MESS DEPTT AUDITING DAILY BASIS.

公司标识
ACCOUNTS OFFICER
Habib Construction Services (Pvt.) Ltd.
May 2014 - Mar 2017 | Islamabad, Pakistan

• Maintain & update books of accounts for project grants (cash/bank book, general ledgers, trial balances, balance sheets & subsidiary ledgers)
• Maintain monthly and quarterly financial reports of the project
• Maintain strong coordination between HRL management and field office regarding all financial matters
• Put all the financial data on the financial software for effective reporting
• Assist management for development of weekly, monthly budget and project proposals
• Maintain & update supporting books of account for project grants (Payroll or salary sheet, fixed assets register, stock register).
• Preparation and management of financial vouchers with complete audit trail.
• Preparation of fortnightly and monthly financial reports with coordination of other departments and report to Head Office as per their time schedules.
• Monitor all the financial affairs of the project and report to management
• To ensure that procurement of goods and services process followed as per policy.
• Managing operating cash for field activities and for administrative expenses and related.
• Managing petty cash imp rest system and related record.
• Dealing with sub-contractors & Staff.
• Preparation and Manual posting of Journal Vouchers, Cash Vouchers and Bank Vouchers
• Posting of all the vouchers to financial software for reporting purpose
• Cash handling (Payment of sub-contractors, staff & Labor)
• Preparation of Bank Reconciliation statement.
• Inter Project Reconciliation.
• To assist the head of finance in the preparation of financial statements.
• Preparation of vouchers, ledgers and trial balance.
• To review supporting documents of financial transactions.
• Preparation of daily cash book.
• Preparation of Budget Monitoring Reports.
• To assist finance team in the co-ordination process during external and internal audit.

公司标识
SR.ACCOUNTANT
Habib Rafiq International Private (Ltd)
Sep 2005 - Apr 2014 | Islamabad, Pakistan

• Maintain & update books of accounts for project grants (cash/bank book, general ledgers, trial balances, balance sheets & subsidiary ledgers)
• Maintain monthly and quarterly financial reports of the project
• Maintain strong coordination between HRL management and field office regarding all financial matters
• Put all the financial data on the financial software for effective reporting
• Assist management for development of weekly, monthly budget and project proposals
• Maintain & update supporting books of account for project grants (Payroll or salary sheet, fixed assets register, stock register).
• Preparation and management of financial vouchers with complete audit trail.
• Preparation of fortnightly and monthly financial reports with coordination of other departments and report to Head Office as per their time schedules.
• Monitor all the financial affairs of the project and report to management
• To ensure that procurement of goods and services process followed as per policy.
• Managing operating cash for field activities and for administrative expenses and related.
• Managing petty cash imp rest system and related record.
• Dealing with sub-contractors & Staff.
• Preparation and Manual posting of Journal Vouchers, Cash Vouchers and Bank Vouchers
• Posting of all the vouchers to financial software for reporting purpose
• Cash handling (Payment of sub-contractors, staff & Labor)
• Preparation of Bank Reconciliation statement.
• Inter Project Reconciliation.
• To assist the head of finance in the preparation of financial statements.
• Preparation of vouchers, ledgers and trial balance.
• To review supporting documents of financial transactions.
• Preparation of daily cash book.
• Preparation of Budget Monitoring Reports.
• To assist finance team in the co-ordination process during external and internal audit.

学历

University of Central Punjab (UCP)
学士, 贸易学士, B.COM‎
Accounting & Finance
所占比重 55%
2003
Pakistan Board of Technical Education Lahore
中级/A级, 计算机科学学生, D.B.A‎
Management Accounting
所占比重 56%
2001
BISE
大学入学/0级, 科学, MATRIC‎
Biological Sciences
所占比重 59%
1999

技能

初学者 Accounting Consultancy
熟练 Reconciliation

语言

熟练 Saraiki

WAJID 联系人

Wajid Abbas MR
Habib Construction Services (Pvt.) Ltd.