概要

Have professional knowledge working experience of around 12+ years in organizations .Overview all accounting proceduresales tax and income tax return filling, preparation of final accounts, in company and maintain all chart of accounts company and accounts maintaining in Quick book Bizcore accounting software documentation with SECP and tax authorities, dealing and documentation with banks.

And also have a Admin and e-commerce (I.t hardware business).

工作经历

公司标识
Sr. Finance Specialist
Jumppace Pvt. Ltd
Dec 2022 - 代表 | Karachi, Pakistan

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公司标识
Finance Executibe
Jumppace Pvt. Limited
Sep 2022 - Nov 2022 | Karachi, Pakistan

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公司标识
Administration Manager
Cubix Pvt. Limited
May 2022 - Aug 2022 | Karachi, Pakistan

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公司标识
Principle Executibe
Hard Drive World
Aug 2021 - Apr 2022 | Karachi, Pakistan

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公司标识
Accounts Manager
Cubix Pvt. Limited
Aug 2020 - Aug 2021 | Karachi, Pakistan

Suppervision books and other relevent work related to accounts and finance.

公司标识
Sr. Accounts Executive
Creative Chaos (Pvt) Ltd
Aug 2016 - Aug 2020 | Karachi, Pakistan

Supervises and directs the activities of the A/P & A/R.
Allocates resources accordingly, prepares performance reviews, tracks key indicators, etc.
Facilitates monthly staff meetings and provide coaching and one on one guidance.
Ensure that suppliers are paid in accordance with company policy.
Ensure AP Month End processes are completed within specified timelines and all required reporting is completed and documented as per department policies.
Identifies areas that will benefit from process improvements and works closely with management to implement streamlined and efficient solutions.
Responds to Treasury, Accounting and Audit questions, concerns and inquiries.
Communicates regularly with management at all levels in the organization regarding payable related matters.
Assists with Accounts Receivable, as needed.
- Preparing Bank Reconciliation Statement.
- Responsible for Correspondence to Banks, Debtors and Creditors to Balance Verification.
Maintain books of accounts as per accounting standard Check voucher on daily basis
Day to day Bank position
Bank Reconciliation and Inter company Reconciliation
Preparing Receivable Vouchers, Bank Vouchers.
Preparation of With Holding Income Tax Challan under sec. 165 Deduction at Source (computerize and manual)
Preparing Income Tax Statement monthly and annually under sec 165 applies on suppliers and under sec 149 applies on salaried persons.
E-Filing of Income Tax Statements.
Preparing of Certificate of Collection or Deduction of Income Tax of Salaried persons.Handling Petty Cash.
Handling of Advance Tax
Making Invoices on Fresh book.
Making Estimate's on Quick book.
Prepare Income/Profit & Loss statement, Balance Sheet, Payable Receivable Ag in Reports Expense Report.
Maintain Records for Annual Audit as per Sales Tax Act,1990
Send paystub through a Word Mail Marge
Filling Form A And 29 on E service portal (SECP)

公司标识
Accounts Executive
Creative Chaos (Pvt) Ltd
Aug 2014 - Aug 2020 | Karachi, Pakistan

Supervises and directs the activities of the A/P & A/R.
• Allocates resources accordingly, prepares performance reviews, tracks key indicators, etc.
• Facilitates monthly staff meetings and provide coaching and one on one guidance.
• Ensure that suppliers are paid in accordance with company policy.
• Ensure AP Month End processes are completed within specified timelines and all required reporting is completed and documented as per department policies.
• Identifies areas that will benefit from process improvements and works closely with management to implement streamlined and efficient solutions.
• Responds to Treasury, Accounting and Audit questions, concerns and inquiries.
• Communicates regularly with management at all levels in the organization regarding payable related matters.
• Assists with Accounts Receivable, as needed.
- Preparing Bank Reconciliation Statement.
- Responsible for Correspondence to Banks, Debtors and Creditors to Balance Verification.
• Maintain books of accounts as per accounting standard Check voucher on daily basis
• Day to day Bank position
• Bank Reconciliation and Inter company Reconciliation
• Preparing Receivable Vouchers, Bank Vouchers.
• Preparation of With Holding Income Tax Challan under sec. 165 Deduction at Source (computerize and manual)
• Preparing Income Tax Statement monthly and annually under sec 165 applies on suppliers and under sec 149 applies on salaried persons.
• E-Filing of Income Tax Statements.
• Preparing of Certificate of Collection or Deduction of Income Tax of Salaried persons.Handling Petty Cash.
• Handling of Advance Tax
• Making Invoices on Fresh book.
• Making Estimate's on Quick book.
• Prepare Income/Profit & Loss statement, Balance Sheet, Payable Receivable Ag in Reports Expense Report.
• Maintain Records for Annual Audit as per Sales Tax Act,1990
• Send paystub through a Word Mail Marge
• Filling Form A And 29 on E service portal (SECP)

公司标识
Accounts & Admin Officer
Creative Chaos (Pvt) Ltd
Jul 2012 - Jul 2014 | Karachi, Pakistan

Supervises and directs the activities of the A/P & A/R.
• Allocates resources accordingly, prepares performance reviews, tracks key indicators, etc.
• Facilitates monthly staff meetings and provide coaching and one on one guidance.
• Ensure that suppliers are paid in accordance with company policy.
• Ensure AP Month End processes are completed within specified timelines and all required reporting is completed and documented as per department policies.
• Identifies areas that will benefit from process improvements and works closely with management to implement streamlined and efficient solutions.
• Responds to Treasury, Accounting and Audit questions, concerns and inquiries.
• Communicates regularly with management at all levels in the organization regarding payable related matters.
• Assists with Accounts Receivable, as needed.
- Preparing Bank Reconciliation Statement.
- Responsible for Correspondence to Banks, Debtors and Creditors to Balance Verification.
• Maintain books of accounts as per accounting standard Check voucher on daily basis
• Responsible for Banks, Vendor and Customer Balance Reconciliation.
• Day to day Bank position
• Bank Reconciliation and Inter company Reconciliation
• Preparing Receivable Vouchers, Bank Vouchers.
• Preparation of With Holding Income Tax Challan under sec. 165 Deduction at Source (computerize and manual)
• Preparing Income Tax Statement monthly and annually under sec 165 applies on suppliers and under sec 149 applies on salaried persons.
• E-Filing of Income Tax Statements.
• Preparing of Certificate of Collection or Deduction of Income Tax of Salaried persons.Handling Petty Cash.
• Handling of Advance Tax
• Making Invoices on Fresh book.
• Making Estimate's on Quick book.

公司标识
Asset Accounts & Admin
Creative Chaos (Pvt) Ltd
Sep 2009 - Jun 2012 | Karachi, Pakistan

Maintain Filing Work on daily basis
Record Maintenance on daily basis
Look after all janitorial staffs issues and duty
Dealing with vendors and negotiate on rate
Record maintain of all employee’s conveyance, food and mobile reimbursement
Look after all security issues and dealing with security company
Maintain duty roster of all janitorial staff
Maintain the office as per company policy.
Maintain and record meeting minutes.
Arrange and issuance of office supplies and office stationery.
Effectively manage phone calls, take messages.
Ensure that the guests are properly received.
Sort out post, parcels, deliveries and couriers in general.
Organize and manage filing system.
Help to implement departmental policies and procedures.
Assist with the preparation of the budget.
To oversee accounts payables.
Manage and resolve contractor issues.
Supervise labor.
Check quality of work.
Assist in timely completion of work.
Handle petty cash of company
Look after all financial issues
Look after all corporative issues
Maintenance of gen set and maintain daily usage register
Dealing with all government department
Look after all KESC, PTCL, issues of company
Maintain Staff records.

学历

Govt. city collage
学士, 贸易学士, Bachelors in Commerce‎
Finance
等级 B
2017
Racnor's
证书, Taxation & Financial Accountancy‎
Accounting
Completed
2012
Farooq E Azam
证书, OFFICE AUTOMATION(MS OFFICE)‎
MS Office, Excel, power point
Completed
2008
Govt. Premier Collage
中级/A级, 贸易学学生, intermidiat‎
Accounting
等级 B+
2008

技能

初学者 Accounting Management
初学者 Payroll Management
熟练 Taxation
熟练 Account Opening
初学者 Accounting
初学者 Accounting Applications Command
熟练 Accounting Skills
熟练 Accounting+
初学者 Accounts
熟练 Accounts Finalization
熟练 Accounts Management
熟练 Accounts Software Command
中级 Admin
熟练 Bank Reconciliation
熟练 Bank Reconciliation     
熟练 Bank Reconciliation on
熟练 Bookkeeping
熟练 Budgeting & Forecasting
熟练 Cash Handling
熟练 Cash Reporting
熟练 Client Followup
熟练 Corporate - Procurement / Administration Departmen
熟练 Corporate Tax Filings
初学者 Database Impact
熟练 ERP Software Command
熟练 External Audit
中级 Financial Accounting
熟练 Financial Analysis
中级 Financial Statement Analysis
熟练 Funds Managment
熟练 Handling Assignments
初学者 Income Tax
熟练 Invoicing
熟练 Japanese & Korean Language Proficiency
熟练 Journal Entries
熟练 Ledger Management
熟练 Legal Service
熟练 Merchant Card Processing
熟练 Microsoft Outlook
熟练 Network Security Administration
熟练 Operational Tasks Handling
熟练 Payroll Analysis
熟练 Payroll Management
熟练 Payroll Processing
熟练 Personal Tax Filings
熟练 Petty Cash Handling
熟练 Pricing Negotiation Skills
熟练 Purchasing Power
初学者 Quick Books
熟练 QuickBooks

语言

中级 英语

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