To work for a professional organization which offers challenging opportunities, an excellent cooperative working environment to utilize my professional and technical knowledge, enabling me to improve my abilities, develop my functionality, and improve the organization plans and work procedures.
Responsibilities
Financial record keeping and updating.
Examining bank statements and reconciling them with general ledger entries.
Handling accounts payable and receivable. Handle monthly, quarterly and annual closings.
Bank reconciliation.
Checking invoices.Tax preparation and filing.
Contacting clients about transactions and invoices.
Responsibilities
Maintain and update petty cash on Quickbook 2005
Bill bookings & invoice postings
Vendor and customers ledger reconciling
Back dates entries adjustments
Learning about IT industry and its scope in Pakistan
Responsibilities
To use Accounting Software & Data Base Software for Input Income & Expense Entries, Documentation & all other activities related to Account Section.
Responsibilities
Learning about IT industry and its scope in Pakistan Aeronautical Complex, Kamra, in the accounts department, I assisted with financial data entry and reconciliation tasks, ensuring accurate record keeping and financial transparency.