概要

Job seeker for audit officer

工作经历

公司标识
Asst. Manager Accounts
Babajee Enterprises(Dealer of Attock and Lucky cement private limited)
Sep 2018 - 代表 | Karachi, Pakistan

Job Role: Accounting and Auditing Software: ERP(web based accouting)/Ms Excel Job Description: • To maintain all customers ledger accounts. • To maintain pettycash. • To maintain all supliers ledger accounts. • To prepare monthly reconciliation between ledgers of company and customers/suppliers. • To prepare monthly aging reports for company account receivable. • To preoare customers and suppliers invoices on daily basis. • To prepare annually account receivable turnover ratio. Dealer of Attock and Lucky cement private limited CURRENT PAY : RS.28K BONUS : RS.ONE SALARY/6 MONTH

公司标识
Audit officer
The Citizens Foundation
Dec 2016 - Apr 2018 | Karachi, Pakistan

·         Check and verify physical cash count with petty cash record.
·         Check and verify receipts and payments.
·         Check and verify paid expenses with respect to authorized DFA
·         Check and verify receipts with fee collection register and by physical                        verification with students(In school cases)
·         Check and verify staff payroll record and with their personal file and to                    ensure that salaries are being paid as per the company policy.( in all cases i-            e, schools, Garages, Area offices, regional offices and head office)
·         Check and verify fixed assets record with physical count and to ensure that              assets are being properly tagged and disposed as per the company                          prescribed DFA.
·         Check and verify security deposit record of staff.
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·        Check and verify security deposit record of staff.
·        Check and verify stock movement schedule and to ensure that stock are being issued on prescribed prices.
·        Check issuance of stock with receipts and vouchers.
·        Verify stock sales with stock register and ledger accounts.
·        Check and verify bank reconciliation statements.
·        Check and verify vehicles record with fixed assets register and physical count.(In Garage cases)
·        Check and verify oil change reading record with garage oil change book and prescribed reading by company.
·        Check repair/, maintenance record with garage ledger and prescribed limits.
·        Check and verify vehicle log book.
·        Check and verify vehicles part purchase accounts.
·        Check and verify auctioned vehicle record.
·        Check and verify drivers file and their license record.
·        Check and verify payment of any expense with appropriate approval(in                   garage, school, area office, regional office and head office)
·        In Head offices cases, check and verify all receipts/payments, cash                         handling/approval for travelling expenses/cost management for stock, all                 relevant accounts.( Supply chain, HR, finance department/resources                       mobilization department, administration department.

公司标识
ACCOUNANT
financial employement exchange
Jan 2013 - Apr 2015 | Karachi, Pakistan

·         Maintain candidates record
·         Maintain general journal for service fee.
·         Handling of pettycash and vouchers preparation.
·         Maintain general ledger.
·         Data compilations.
·         Maintain record for employers.
·         Assigning of candidates as per employe

学历

3D educators-Trainers
证书, ‎
Auditing, Audit
Incomplete
2022
University of Karachi
学士, 贸易学士, Bachelors in Commerce‎
Cost accounting, Advance accounting, statistics, Economics and Audit and income tax law
所占比重 58%
2016

技能

中级 CIT Course Peach Tree/ Tally Accounting Software
熟练 Conservation Awareness
熟练 Financial Accounting
中级 Handling Assignments
初学者 Social Welfare Management
熟练 Warranty Quality Assurance Process