Institutions with an Extraordinary record of work accomplishment need dynamic and creative individuals to pursuer their ever-expanding possibilities. I am looking for an opportunity to join a team of professionals, particularly in the field of “Finance And Accounting”
EXPERIENCE
Golden Textile Mills Limited. (Asst. Accountant)
From January 1998 to February 2000.
Ruba Group of Trading Companies. (Accountant-Deputy Manager Corporate Finance)
From 1ST March 2000 to 31st December-2022
During Job in Ruba Group Of Trading Companies working in given below Concern Companies.
Company Name Designation Duration
Ogen Trading Co (O’ general Ac) Accountant May-2001 To December-2005
Fs Trading Co (Firestone Tyre) Senior Accountant March-06 To January-09
Panasonic & Mega Gate Mobile Assistant Manager Finance June-2010 To December-2016
Sharp, Sony, Canon Deputy Manager Corporate March-2017 To December-22
Finance
MAJOR JOB DESCRIPTION IS GIVEN BELOW ASSIGN BY THE COMPANIES
Handling all matters regarding payments
Preparation of bank reconciliation statement
Daily and consolidated fund flow report
Preparing of employees pay roll
Preparation of daily cash/bank activity report
E-Filling of withholding tax Challan
Maintained accounts payable records
Opening of LC/Contract
Preparation Of LC/Contact maturity schdule
Preparation of daily funds management schdule
Working in different software IBS (Orical base system) Access, Sap B1 (Customized accounting software for ruba group)
Verification of cash book, trial balance, and general ledger.
Monitoring bank balances and reconciliation on daily & monthly basis.
Maintaining and monitoring all vouchers entries into GL system.
Kept strong control on financial matters to prevent from any misshape.
Current Job
Noor Oriental Engineering (Pvt) Ltd (Sheikhupura) (Assistant Finance Manager)
From 1st January-23 To till date
Job Description In NOE
Preparation Of Supplier and Customer Ledgers.
Preparation Of Input and Output Tax Registered.
Preparation Of All Type of Vouchers (BPV, BRV, CPV, JV).
Preparation Of Bank Reconciliation Statement.
Reconciliation Of Input and Out Put Tax With FBR
Preparation Of Withholding and Income Tax Challan.
Preparation Of Staff Payroll.
Submission Of Monthly Sales Tax Return.
Preparation Of Co Financials (Balance Sheet Profit & Loss) As Per Co Format.
Preparation Of All Types of Payment Through Bank Digital Portal.
Handling Patty Cash and Expenses.
Preparation Of Daily and Consolidate Cash Flow Statement.
EXPERIENCE
Golden Textile Mills Limited. (Asst. Accountant)
From January 1998 to February 2000.
Ruba Group of Trading Companies. (Accountant-Deputy Manager Corporate Finance)
From 1ST March 2000 to 31st December-2022
During Job in Ruba Group Of Trading Companies working in given below Concern Companies.
Company Name Designation Duration
Ogen Trading Co (O’ general Ac) Accountant May-2001 To December-2005
Fs Trading Co (Firestone Tyre) Senior Accountant March-06 To January-09
Panasonic & Mega Gate Mobile Assistant Manager Finance June-2010 To December-2016
Sharp, Sony, Canon Deputy Manager Corporate March-2017 To December-22
Finance
MAJOR JOB DESCRIPTION IS GIVEN BELOW ASSIGN BY THE COMPANIES
Handling all matters regarding payments
Preparation of bank reconciliation statement
Daily and consolidated fund flow report
Preparing of employees pay roll
Preparation of daily cash/bank activity report
E-Filling of withholding tax Challan
Maintained accounts payable records
Opening of LC/Contract
Preparation Of LC/Contact maturity schdule
Preparation of daily funds management schdule
Working in different software IBS (Orical base system) Access, Sap B1 (Customized accounting software for ruba group)
Verification of cash book, trial balance, and general ledger.
Monitoring bank balances and reconciliation on daily & monthly basis.
Maintaining and monitoring all vouchers entries into GL system.
Kept strong control on financial matters to prevent from any misshape.
Current Job
Noor Oriental Engineering (Pvt) Ltd (Sheikhupura) (Assistant Finance Manager)
From 1st January-23 To till date
Job Description In NOE
Preparation Of Supplier and Customer Ledgers.
Preparation Of Input and Output Tax Registered.
Preparation Of All Type of Vouchers (BPV, BRV, CPV, JV).
Preparation Of Bank Reconciliation Statement.
Reconciliation Of Input and Out Put Tax With FBR
Preparation Of Withholding and Income Tax Challan.
Preparation Of Staff Payroll.
Submission Of Monthly Sales Tax Return.
Preparation Of Co Financials (Balance Sheet Profit & Loss) As Per Co Format.
Preparation Of All Types of Payment Through Bank Digital Portal.
Handling Patty Cash and Expenses.
Preparation Of Daily and Consolidate Cash Flow Statement.