Experienced Professional having More than two years of Experience and Background in Business administration Studies.
Monthly Vendors Balance Reports & Monthly Bank Reconciliation Statements.
Posting Journal Entries in Ledger, Trial Balance & Making Financial Statements Annually.
Preparation of Withholding Income Tax data for Filling On FBR
General Sales Tax monthly Details.
Reconciliation (Banks+ Vendors+ Cash)
Employee Full Records (Advances+ Expenses)
Updating records Of Cash & Bank on Daily Basis
Working on Accounts Receivable.
Dealing With Leasing Agencies and Insurance Companies.
Dealing and Updating Bank on Daily basis.Â
Audit Financial Statements of Various Companies.
Working on General Sales Tax of Businesses.
Working on Withholding tax and Income tax returns.
Working on e filling and IRIS.