خلاصہ

Accountancy and finance professional having 3 years of diversified experience as an Accounts Executive in a well reputed Organization. To utilize my knowledge and skills with all my dedication and enthusiasm with the intention of securing
a professional career in an organization that provides highly competitive and challenging environment to grow my business building skills in a well-diversified Audit, Accounts and Finance environment while gaining knowledge of new skills and expertise.

تجربہ

کمپنی کا لوگو
Accounts Executive
Flux Metal (Pvt) Limited
اگست ۲۰۱۷ - موجودہ | Gujranwala, Pakistan

Reviews accounts payable and Receivable vouchers as well as repair and maintenance expenses.
 Monitor and review monthly receivables for accuracy, adjustments, and/or corrections.
 To provide accurate and timely financial information as required internally by management.
 Complete all job functions relating to assigned properties efficiently, and by the assigned deadlines.
 Monitor cash positions and anticipate future cash deficiencies Oversee.
 Monthly bank reconciliations including follow up and correction of outstanding items.
 Preparation of monthly reports & Financial Statements.
 Process salaries of all staff.
 Review the day to day transactions and ensure they are updated in the system.
 Managing all accounting operations based on accounting principles
 Improve systems and procedures and initiate corrective actions
 Prepare, examine, and analyze accounting records and financial statements.

کمپنی کا لوگو
Accounts Executive
Dawood Residency ( Pakasia Group)
جولائی ۲۰۱٦ - جولائی ۲۰۱۷ | Lahore, Pakistan

Prepares security deposit refund invoices.
 Reviews accounts payable and Receivable vouchers as well as repair and maintenance expenses.
 Reviews accounts receivable aging, cash applications and prepaid installments of Plots.
 To provide accurate and timely financial information as required internally by management.
 Have full involvement, responsibility, and for their portfolio, which includes all monthly, quarterly, annual,
and other duties as detailed in the job responsibilities.
 Complete all job functions relating to assigned properties efficiently, and by the assigned deadlines.
 Utilize and develop skills such as problem solving, decision-making, time management and effective
communication to achieve the desired results.
 Monitor cash positions and anticipate future cash deficiencies Oversee and review monthly construction
progress claim and development draw requests.
 Monthly bank reconciliations including follow up and correction of outstanding items.
 Monitor and review monthly receivables for accuracy, adjustments, and/or corrections.
 Ensure all tenant administration duties are processed per documentation as required.
 Supply tenant analysis and statements of account as required.
 Monitor and review accounts payable coding for accuracy.

کمپنی کا لوگو
Accounts Officer
Proma-Sat (Pvt) Ltd
اگست ۲۰۱۴ - جون ۲۰۱٦ | Lahore, Pakistan

Timely reporting of financial summaries to key management on monthly and quarterly basis.
 Ensure Accounts are maintained on the basis of International Financial Reporting Standards (IFRS’s).
 Preparation of Monthly Financial Statements, Periodic Financial reports.
 Ensure intercompany reconciliations and Bank reconciliation has been done on daily basis.
 Reviewing and processing salaries of staff & commission of sales staff on monthly basis.
 Ensure that necessary books of accounts like cash book, ledger etc. are prepared and compare with
exchange bank statement
 Review the day to day transactions and ensure they are updated in the system.
 Coordinate with Insurance & Risk Department and ensure the reconciliation has been done.
 Active involvement in payroll disbursement.
 Inventory controls, Accounts receivables Accounts Payables.
 Timely reporting of financial summaries to key management on monthly and quarterly basis.
 Ensure Accounts are maintained on the basis of International Financial Reporting Standards (IFRS’s).
 Analyzing monthly business results, comparison of actual results with budgets and identifying the
reasons variances.
 Preparing and submitting the documents to bank for collection of payment from customers.
 Taking proper feedback regarding cost optimization in relevant departments for budget preparation.
 Preparing Budget and submit the same for necessary approval
 Process salaries of all staff.
 Preparation of Bank reconciliations

تعلیم

ACCA Pakistan
سرٹیفیکیشن, ACCA‎
Finance, Auditing
مکمل
2017
University of the Punjab
بیچلرز, , B.Com‎
فی صد 60%
2009
Board of intemediate & secondary education, gujranwala
انٹرمیڈیٹ / اے لیول, , F.A General Science‎
فی صد 61%
2007
Board of intemediate & secondary education, gujranwala
میٹرک / او لیول, , Matric in Science‎
فی صد 65%
2003

پیشہ ورانہ مہارتیں

ابتدائی Audit Assignment Handling
متوسط Bank Reconciliation     
ابتدائی Corporate Finance
ابتدائی Debt Finance
ابتدائی Financial Modeling and
متوسط Financial Statement Analysis+
متوسط Fund Administration
ابتدائی Funds Management
ابتدائی Funds Managment
متوسط Handling Assignments
متوسط IFRS
متوسط Internal Audit Command
متوسط Internal Controls
متوسط International Standards Auditing
ابتدائی Invoice Discounting
متوسط Islamic Finance
ابتدائی Korean Teaching
متوسط Logo desigining
متوسط Payroll Processing
متوسط Planning and Budgeting
متوسط Prepaid Ledger
متوسط Production Process Knowledge
ابتدائی Provident Fund Management
متوسط Revenue Recognition
متوسط Sales Audit
متوسط Social Welfare Management
متوسط Stock Control
ابتدائی Tax Preparation
متوسط Teller Services
متوسط Vehicle Allocation
متوسط Voucher Management

زبانیں

ماہر اردو
متوسط انگریزی