To pursue a challenging position in a progressive and well-reputed organization offering a professional working environment coupled with opportunities for growth and development, also to work with a team and provide motivation in order to contribute towards the success of the organization.
Daily interaction with USA based clients and preparation of adhoc reports as required.
Performing A/P management cycle from start to end & vendors’ reconciliation. Analyzing AP summary & unpaid bills report & Respond to all vendor inquiries
Timely and correct posting of Invoices and Bills. Ensuring Proper Bookkeeping by Subordinates • Maintaining Accounts (an ERP program).
To prepare monthly Bank Reconciliation.
Allocation of expenses to Cost Centers & Cost Units. Arthur Lawrence
Monthly Adjusting & Closing entries.
Timely recording of sales and preparation of invoices.
Handling daily cash and preparation of cash reconciliation on daily basis.
Making Receipt and Payment vouchers & Filing.
As a Auditor duities.
Obtaining, analyzing and evaluating accounting documentation, reports, data , flow chats etc.
Prepare audit reports to management documenting the work performed and if audit issue identified , provide recomandation to address the issue.
Assist in developing scope, Performing testing and developing findings under the direction of internal audit management.
Document work performed in workpapers in a timely manner and respond to manager review comments.
Conduct follow up auditis to monitor managements interventions.
Individually, or working as part of a team, carry out reviews on financial, operation and compliance risk.
Reviewing business processes to identify control gaps.
Documenting audit findings and drafting pragmatic, timely action items.
Perfomed stock counts and prepare stock reports.
Advance MS Excel Skills including Vlookups and pivot table etc.
As a Accounts Officer duties.
Pepare company bank reconcilation
Verification of invoices with supporting document
Compare with purchase order & vendors contract.
Preparation of the daily Accounting records.
Approving and funds vouchers for payment.
Invoices allocation with area budget code
Advance MS Excel Skills including Vlookups and pivot table etc.
General Journal enteries in quick books.
 Posting enteries in general journal and legder accounts.
Different ERPs used .
Excellent knowledge of auditing standards and procedures, laws, rules and regulations.
As a work for different assisgnments.
Prepare personal individual income tax returns and submit to FBR
Prepare and review bank reconciliation statement of different clients.
Quick books & Xero software different assignments like creating invoices, bills payments, general journal enteries, discounts & tax deduction addition, remote accountant work perfomed etc.
• Pre-audits of administrative payments
• Stock count perform
• Physical verification of jobs
• Market rate verification
• Cash counts
4 weeks internship in SUMMIT BANK head office AUDIT DEPARTMENT
Internship in 6 weeks
Al baraka bank Tariq road branch