خلاصہ

Working in an organization where is existed an opportunity to grow my career and my skills may value add to achieve organization objective. I am a highly energetic and result oriented. I have more than 12 years of experience in the field of Finance & Accounts. During my experience I performed in different field of Finance & Accounts includes,

- Working on SAP
- Working on Sidat Hyder
- Working on iscala
- Bank Reconciliation
- Prepare and Report Daily Bank Balance report to Upper management.
- Keep record and follow up of IOU’s and other receivable matters
- Review all cash payments and receipt related matters including follow up with concerned stakeholders.
- Distribute Cash to Daily Wages & Piece Rate Workers.
- Ensure timely full & final payments and in this context coordinate with Human Resource department on mail
- Reviewing all accounts related matters concerning to Provident Fund i.e. withdrawal, disbursement and reconciliation prepared on daily basis and in this context coordinate with bank when there is any irregularity found and report to GM-F, CFO and CEO
- Vender payments
- Banking transactions for Islamic Financing
- Imports Payments
- Preparation and handling of supplier cheques
- Travel Management
- Disbursement of salary and petty cash

In response of my effort, I received employee of the month award at Pharmaceutical Industries.

پراجیکٹس

ERP SAP FICO

تجربہ

کمپنی کا لوگو
Sr. Accounts Officer
Naz Construction Ltd
فروری ۲۰۲۰ - موجودہ | Karachi, Pakistan

• Maintain MIS Report
• Reconcile Customer Ledger weekly basis
• Visit of bank regarding deposit of cash and other issue on daily basis
• Handling Petty cash
• Making cash and cheques report to C.E.O on daily basis
• Keep record and follow up of IOU’s and other receivable matters
• Review and ensure bank reconciliation prepared on monthly basis and in this context coordinate with bank when there is any irregularity found and report to C.E.O
• Correspond with bank on bank remittance report to C.E.O
• Handling whole operation matter absent of Manager Accounts
• Monthly customer aging report send to Manager Accounts & C.E.O

کمپنی کا لوگو
Accountant
Al-Hafiz Group of Companies
جون ۲۰۱۹ - جنوری ۲۰۲۰ | Karachi, Pakistan

• Working on ERP (SAP) system
• Making SDR Report daily basis
• Daily collection posting in SAP
• Visit of bank regarding deposit of cash and other issue on daily basis
• Handling Petty cash
• Making cash and cheques report to Branch Manager on daily basis
• Collection of cash our salesman and reconcile
• Check inventory report & physical report send to our upper management on daily basis
• Keep record and follow up of IOU’s and other receivable matters
• Handling whole branch operation issues in absent of Branch Manager & N.B.M (National Branch Manager)
• Making monthly PNL report to N.B.M (National Branch Manager)
• Daily send inventory report to head office
• Daily send bank deposit slips and excel log to Head Office
• Daily send G.T report to N.B.M (National Branch Manager)
• Deedo.pk (E-Commerce Online Business)
• Making Pack list in SAP
• Making Delivery Note in SAP
• Making Invoice SAP
• Return if not delivered the product to customer.
• Making Payment and reconcile daily basis
• Making COD when needed
• Reconcile whole orders regarding Deedo in daily basis and send the report to B.M and head office.

کمپنی کا لوگو
Customer Sales Executive
Ibex Global
اپریل ۲۰۱۸ - مئی ۲۰۱۸ | Karachi, Pakistan

Received all inbound calls from all over Pakistan
• Outbound calls for Follow up of clients in daily basis
• Maintain an occurate and current database
• Launch the complaint by side of clients and forward to Head Office

کمپنی کا لوگو
Sr. Account Officer
Pearl Pack
اپریل ۲۰۱۷ - ستمبر ۲۰۱۷ | Karachi, Pakistan

Review of payment to creditors
• Provide daily bank position to CEO
• Keep record and follow up of receivable matters
• Review and ensure bank reconciliation prepared on daily basis and in this context coordinate with bank when there is any irregularity found and report to CEO
• Reconcile ledgers at the time of finalization
• Correspond with bank on bank remittance

کمپنی کا لوگو
Sr. Account Officer
Lucky Textile Mills Ltd.
مئی ۲۰۲۴ - مارچ ۲۰۱۷ | Karachi, Pakistan

• Prepare cheques which include store payments, Full and Final settlements etc.
• Correspond with banks on Bai-Salam, Istisna financing and export remittance related matters.
• Prepare and Report Daily Bank Balance report to Upper management.
• Assist CFO in day to day decision making pertaining to Working Capital Management.
• Keep record and follow up of IOU’s and other receivable matters
• Review all cash payments and receipt related matters including follow up with concerned stakeholders.
• Distribute Cash to Daily Wages & Piece Rate Workers.
• Correspondence with audit department on payment issues
• Scrutinized credit card and Fedex/DHL monthly courier bills and thereby taking active part in cost saving.
• Review and ensure bank reconciliation prepared on daily basis and in this context coordinate with bank when there is any irregularity found and report to GM-F & CFO
• Ensure timely full & final payments and in this context coordinate with Human Resource department on mail
• Pass J.V (Banks/finance related, sales tax withholding & etc)
• Reconcile ledgers and control accounts at the time of finalization
• Getting Receivable and payable control accounts reconciled on regular basis.
• Reviewing all accounts related matters concerning to Provident Fund i.e. withdrawal, disbursement, preparation of accounts etc
• Assist Taxation manager in preparation and filing of Income Tax and Sales Tax Returns.
• Any other work as required by management

کمپنی کا لوگو
Executive Finance
Macter International Limited
نومبر ۲۰۰٦ - اکتوبر ۲۰۱۴ | Karachi, Pakistan

• • Working on ERP (SAP) system
• To arrange execution of Murabaha transaction for local & import purchases from various banks.
• Prepare and Report Daily Bank Balance report to Upper management.
• Settlement of Murabaha and reconciliation statements with the banks.
• Processing of import related payments includes collector of custom, excise & taxation air dues & sea dues, wharfage, terminal handling charges, container deposit, delivery order charges, H&C air dues, civil aviation charges, misc charges, freight charges, transportation Charges etc.
• Preparation of vender payments and cheques and coordination with vender to resolve issues.
• Keep record and follow up of advances and other receivable matters
• Cheques printing manual module transfer to SAP
• Coordination with bank
• Maintaining all financial records including vouchers, utilities and sales tax data.
• Offsetting to cashier and monthly cash salary disbursements and all work related to cashier.

تعلیم

Federal Urdu University of Arts, Sciences and Technology
ماسٹرز, ماسٹرز ان کامرس, M.com‎
Accounting & Finance
درجہ C
2016
Federal Urdu University of Arts, Sciences and Technology
بیچلرز, , Bachelors in Commerce‎
Accounting & Finance
درجہ C+
2014

پیشہ ورانہ مہارتیں

ماہر Accoiunting
ماہر Delievry Planning
ماہر Executive Finance
ماہر Handling Assignments
ماہر Microsoft Outlook
متوسط SAP Travel Management
ماہر Social Welfare Management

زبانیں

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