خلاصہ

To work in a dynamic organization where I can excel and explore my capabilities for the achievement of organizational as well as personal objectives.

تجربہ

کمپنی کا لوگو
Finance Officer / Accounts Assistant
Excel Labs Pvt Ltd
جولائی ۲۰۱۹ - موجودہ | Islamabad, Pakistan

Working as a Finance Officer/Accounts Assistant in Excel Labs (Pvt) Ltd.
Responsibilities Of Finance Officer:

 Daily monitoring of cash deposits by points and follow up on emails by regional managers/Coordinators of respective regions. Preparation of sales summary receipts of collection points on daily basis.
 Identifying errors in MIS report (Cash tally sheet) and reporting them to Assistant Manager Accounts and Finance.
Preparation of PHS Providers shares and liaising with PHS Providers and maintaining master control/summary file.
 PHS Providers agreement record keeping both in soft and hard.
 Point of person for receipt of cheques from Retail and corporate customers and updating receivables ageing sheet accordingly.
 Maintaining Record sheet of Share paid to PHS Providers.
 Helping Sr.officer finance and recovery in daily routine tasks.
 Receipt of Security deposit in case of new franchise opening.
 Preparation of settlement details in case of franchise closing.
 Any other task assigned by the Assistant Managers, Manager Accounts and Finance and CFO.
Responsibilities Of Accounts Assistant:
 Filing of office documents/vouchers & keeping record of Finance files in stores
 Scanning of all kinds of vouchers on a monthly basis
 Soliciting monthly companywide bank statements from Banks.
 Assist Finance Executive in Panel Billings and Senior Accounts Executive in physical voucher preparations
 Responsible for providing any voucher from the store/archive or documented files to any member of the Finance and Accounts Team.
 Getting individual salary checks and provident fund loan/final settlement cheques signed from authorized signatories.

Travel Waljis (Pvt) Ltd.

Responsibilities:
 Preparation & Posting vouchers like Payment, Receipts, and journal vouchers.
 Preparation of the Cash Book and Maintaining Ledgers Book.
 Preparation of the bank reconciliation statement
 Daily Cheque deposit in Bank.

تعلیم

Quaid-i-Azam University
ماسٹرز, , B.Com‎
Commerce
فی صد 50%
2018
FBISE
انٹرمیڈیٹ / اے لیول, , I.Com‎
Commerce
فی صد 53%
2016
FBISE
نان میٹرک, Matric in Science‎
Science
مکمل
2014

پیشہ ورانہ مہارتیں

متوسط (MS Word, MS Excel, MS Power Point)
ابتدائی Fluent in English

زبانیں

ماہر پنجابی
متوسط انگریزی
ماہر اردو

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