preparing, maintaining, analyzing, verifying, and reconciling complex financial transactions, statements, records, and reports maintains the accuracy of the vendors and customers ledgers
· Company annual license renewal, and Insurance posting.
• Handling Insurance of the company and employees.
• License renewal of the company,
• Ensure the accuracy of the information contained in financial reports & their compliance with statutory Requirements
• Manage the day-to-day financial transactions of the company.
• Maintain vendor and customer ledgers and Reconciliation of Ledgers.
• Budgeting and forecasting.
• Cash management, control petty cash expenses.
• Payroll management and administration matters of the office.
• Ensure General Ledger entries are accurate and in line with Company Procedures
• Ensure effective fixed assets & inventory control is applied.
• Monthly Bank Reconciliation.
• Statements of all bank accounts maintained and resolve any differences in a timely manner.
• VAT calculation and help while Filling VAT returns.
• Stock taking and Reporting to a higher authority on a monthly basis.
• Ensure the Accounting standards are followed in the company.
• Prepare financial statements & reports for senior managements & directors.
• Ensure the accuracy of the information contained in financial reports & their compliance with statutory Requirements
• Manage the day-to-day financial transactions of the company.
• Maintain vendor and customer ledgers in QuickBooks.
• Cash management, control petty cash expenses.
• Payroll management and administration matters of the office.
• Ensure General Ledger entries are accurate and in line with Company Procedures
• Ensure effective fixed assets & inventory control is applied.
• Monthly Bank Reconciliation.
• Statements of all bank accounts maintained and resolve any differences in a timely manner.
• Reconciliation of Ledgers with vendors and customers.
• Calculation of income tax.
• Withholding tax Calculation working.
• Calculation Of Shelf Life & Late Delivery
Stock taking and Reporting to a higher authority on a monthly basis.
• Prepare financial statements & reports for senior managements & directors.
• Manage the day-to-day financial transactions of the company.
• Maintain vendor and customer ledgers.
• Cash management, control petty cash expenses,
• Payroll management and administration matters of the office.
• Ensure General Ledger entries are accurate and in line with Company Procedures
• Ensure effective fixed assets & inventory control is applied.
• Monthly Bank Reconciliation
• Statements of all bank accounts maintained and resolve any differences in a timely.
• Reconciliation of Ledgers with vendors & customers.
Stock Taking on a Monthly basis.
• Ensure the Accounting standards are followed in the company.
• Prepare financial statements & reports for senior managements & directors.
• Ensure the accuracy of the information contained in financial reports & their compliance with statutory Requirement.
• Manage the day-to-day financial transactions of the company.
• Maintain vendor and customer ledgers in QuickBooks.
• Collection Cash management, control petty cash expenses Payroll management, and administration matters of the office.
• Ensure General Ledger entries are accurate and in line with Company Procedures
• Ensure effective fixed assets & inventory control is applied.
• Monthly Bank Reconciliation
• Statements of all bank accounts maintained and resolve any differences in a timely manner
Reconciliation of Ledgers with vendors and customers
Zahir shah and brothers is provide exclusive service of security
I worked here as an accountant and my responsibilities were as follows
» issuance of invoices to the customer
» Maintain daily wages and salaries personnel
ledger accounts
» preparation of income statement
» Daily office administration manging petty cash
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