概要

Experienced and qualified accounts and finance professional with more than 3 years of progressive experience across a broad range of accountancy, finance and audit functions and diverse industry segments. Proven ability to successfully manage multi directional & hierarchical responsibilities and perform under pressure with minimum supervision and contribute in the growth of the organization as well as own career.

工作经历

公司标识
Accounts Assistant
Quantum Leap (Pvt.) Ltd.
Mar 2015 - Oct 2016 | Lahore, Pakistan

 PREPARING BANK RECONCILIATION, MONTHLY STATEMENTS, ANALYTICAL REPORTS.
 POSTING OF SALES, PURCHASE, RECEIPTS, PAYMENTS & OTHER TRANSACTIONS TO ACCOUNTING SOFTWARE.
 PREPARING ACCOUNTS RECEIVABLE & PAYABLE, AGING REPORTS, CHEQUES, VOUCHERS & SALES INVOICES.
 PREPARING PAYMENT ORDERS, SALARIES & OVERTIME OF THE SALES STAFF.
 MAINTAINING BALANCE SHEET & PROFIT & LOSS A/C, PETTY CASH FOR DAY TO DAY NEEDS.
 PREPARING THE DOCUMENTS FOR THE AUDIT PURPOSE & REPORTING TO GENERAL ACCOUNTANT DIRECTLY.

公司标识
Accounts Executive
THOMSON
Feb 2014 - Feb 2015 | Lahore, Pakistan

 VERIFIES AND POSTS TRANSACTIONS TO JOURNAL LEDGERS AND OTHER RECORDS.
 PREPARE STATEMENTS, INVOICES AND VOUCHERS & BOOKKEEPING.
 RECONCILIATION OF BANKS & OTHER COMPLEX TRANSACTIONS.
 EXAMINES RECORDS OF AMOUNT DUE AND MAKE SURE INVOICES ARE PAID ACCORDING TO THE TERMS AND DISCOUNT TAKEN.
 ENSURES EXPENSE CODING AND CHEQUE ISSUANCE ARE ACCOMPLISHED ACCURATELY AND TIMELY.
 ACCOUNTS RECEIVABLES RECORD KEEPING, CASH RECEIPTS OR UNPAID INVOICES ARE ACCOUNTED PROPERLY.
 CASH INFLOW & OUTFLOW STATEMENT DAILY, WEEKLY & MONTHLY.
 PREPARE THE COMMISSION OF SALES MEN, SALARIES OF STAFF AND MANAGERS WEEKLY COMMISSION.
 REVIEWS INVOICES, BILLS, VOUCHERS OR OTHER DOCUMENTS FOR CORRECTIONS BEFORE ENTERING INTO RECORDS.

公司标识
Audit Trainee
Baker Tilly Mehmood Idrees Qamar, Chartered Accountants
Jun 2013 - Jan 2014 | Lahore, Pakistan

 PERFORMING EXTERNAL AUDITS, STOCK COUNTS, BOOK KEEPING ASSIGNMENTS AND INTERNAL CONTROLS.
 CHECKING OF PAYROLL CYCLES FOR CLIENTS, MONITORING THEIR EMPLOYEES’ CONTRACTS AND PAYMENT DETAILS.
 VERIFICATION OF CASH AND BANK BALANCES INCLUDING SUBSEQUENT STATUS.
 VOUCHING/VERIFICATION OF EXPENSES AND COMMUNICATING WITH PARTNER WITH REFERENCE TO ENGAGEMENT PROGRESS.
 ASSISTING AND SUPPORTING CLIENTS IN MEETING THEIR REGULATORY REQUIREMENTS.

学历

COMSATS Institute of Information Technology
硕士, 工商管理硕士学位, MBA (Finance)‎
Finance
CGPA 3.4/4
2016
COMSATS Institute of Information Technology
学士, 工商管理学士学位, BBA (Finance)‎
Finance
CGPA 2.8/4
2013

技能

熟练 Handling Assignments
中级 Peachtree Command
中级 Social Welfare Management
中级 Tally Accouns

语言

熟练 英语