概要

To utilize my skills,expertise and educatinal knowledge in funcational area of accountancy.

工作经历

公司标识
General Accountant Seniour Accountant
Pegasus International Travel and Tourism
Aug 2015 - Dec 2015 | Dubai, United Arab Emirates

General Accountant (Senior Accountant)
Duties and Responsibilities:
 Prepares and records asset, liability, revenue, and expenses entries by compiling and analyzing account information.
 Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
 Maintains general ledger by transferring subsidiary accounts;
 Secures financial information by completing database backups.
 Protects organization's value by keeping information confidential

 Handle Accounts Payable and Receivables and Prepare day to day bank transaction & day to day cash transactions reports.
 Prepare daily funds, receivables and reporting to the manager
 Control petty cash
 Follow up with payment with clients on weekly basis for outstanding
 Manage the invoice generation operation & Credit Control
 Maintain monthly bank statement of all bank accounts maintained
 Follow up with the sales team on collections
 Record sales transaction in the system on a daily basis.
 Preparing vouchers and cheques for payment and receipt.
 Update management on a daily basis on the company financial status
 Handle salaries, leave, commissions, of staff as per their employment contract
 Manage the day to day financial transactions such as telephone bills, rent, etc.

公司标识
Accountant
Voyage Tours
Jan 2013 - Aug 2014 | Dubai, United Arab Emirates

Accounts (Payable)
Major Responsibilities
 Preparation, Printing of Cheque and Make Entry into System
 Supplier Statements checking
 Bank Reconciliation statement
 Timely Release cheque
 Keep Payment record and doing filing
 Matching and reconciliation of Ledger account balance with supplier statements
 Purchase Bill adjustments
 Calculation and Payments of Utility Bills and keep records
 Profitability (Expense Matching)

Accounts (Receivable)
 Preparation & Reconciliation of sales invoice
 Daily Posting of Sales Invoices and Purchase Bills
 Preparation & Reconciliation of ledger reports
 Preparation of monthly Profitability reports
 Checking of daily posting to Ledgers
 Pass Journal Voucher (JV)
 Collection and keep records of the receipt vouchers
 Checking Suppliers statement (as per contracted rate)
 Handling of External & Internal Queries

公司标识
UBL internee
Aug 2012 - Oct 2012 | Jehlum, Pakistan

学历

University of Gujrat
学士, 工商管理学士学位, Bachelor of Business Administration‎
CGPA 3.1/4
2013
PBTE Lahore
中级/A级, 等级A, D.Com‎
所占比重 65%
2008
Board of Intermediate & Secondary Education Rawalpindi
大学入学/0级, , Matric In Science‎
Statistics
2006

技能

中级 Auto Loans
熟练 Fund Administration
初学者 Funds Management
熟练 Handle Outbound Calls
熟练 Handling Assignments
中级 Managing Midsize Teams - 5 to 20 People
熟练 Microsoft Outlook
中级 Mobile Banking
熟练 Payroll Processing
初学者 Peachtree Command
熟练 Sales Audit
初学者 Social Welfare Management
中级 Tally ERP

语言

熟练 英语

Muhammad 联系人

Junaid Azam
Ora-Tech Systems Pvt (Ltd) Lahore