概要

To enhance professional capabilities by accepting and accomplishing challenging assignments, show potential abilities by dedication, knowledge and intelligence commensurating to my expertise and grow with the growth of an organization

工作经历

公司标识
Accounts Officer
Mima Knit (Pvt) Ltd
Nov 2016 - 代表 | Karachi, Pakistan

Job Description:
 Maintain Office Files and other source of data
 All Accounting Activities from recording of daily transactions to preparation of financial Statement by using Oracle Finance Software.
 Maintaining the Purchase Register.
 Controlling Accounts Receivable & Payable (AR/AP)
 Maintain Local Sales & Export Invoices
 Making Adjustments for Accruals and Prepaid
 Monitoring the bank transaction includes D.D cheque & online transfer
 Checking and passing of suppliers bills for payment.
 Handle Cash & Post Dated Cheque’s
 Maintain reports & documents using MS Word & Excel.
 Maintain Cash Book & Bank Book
 Dealing with Customers & follow up outstanding payments.
 Maintain of Petty Cash Account
 Cheque & Cash deposit into the Bank
 Preparation of Receipts, Payments, Journal vouchers
 Prepare Bank Reconciliation Statement on Monthly basis.
 Preparing financial statement includes Ledger, Trail Balance, Profit & Loss account and Balance Sheet.

公司标识
Accounts Executive
Adam Management Consultancy
Sep 2014 - Oct 2016 | Dubai, United Arab Emirates

Job Description:
 Maintain Office Files and other source of data
 All Accounting Activities from recording of daily transactions to preparation of financial Statement by using Tally ERP 9 Software.
 Maintaining the Purchase Register.
 Controlling Accounts Receivable & Payable (AR/AP)
 Making Adjustments for Accruals and Prepaid
 Monitoring the bank transaction includes D.D cheque & online transfer
 Checking and passing of suppliers bills for payment.
 Maintain WPS Salary Account.
 Handle Cash & Post Dated Cheque’s
 Maintain reports & documents using MS Word & Excel.
 Maintain Cash Book & Bank Book
 Dealing with Customers & follow up outstanding payments.
 Maintain of Petty Cash Account
 Cheque & Cash deposit into the Bank
 Preparation of Receipts, Payments, Journal vouchers
 Prepare Bank Reconciliation Statement on Monthly basis.
 Preparing financial statement includes Ledger, Trail Balance, Profit & Loss account and Balance Sheet.

公司标识
Audit Assistant
Hyder & Company Chartered Accountant
Feb 2012 - Jan 2014 | Karachi, Pakistan

Job Description:
 Preparation of books of accounts
 Physical Stock taking
 Preparation of Receipts, Payments,Journal vouchers
 Prepare Bank Reconciliation Statement
 Maintenance of Petty Cash account
 Preparation financial Statement Profit & Loss account and Balance Sheet
 E-Filling of Income Tax Return

学历

University of Karachi
学士, , Bachelors of Commerce‎
Accounting & Finance
2009

技能

熟练 Background in Accounting
熟练 Accounts Finalization
熟练 email
熟练 Graduate Record Examinations
中级 AAccounting
熟练 Account Creation
熟练 Accounting+
中级 Accounts Administration
熟练 Accounts Software Command
熟练 Bookkiping
熟练 Computer based accounting + Reconciliation
熟练 Experience minimum 3-5
熟练 Handling Assignments
熟练 High school diploma
初学者 Import and Export Documentation
熟练 Pursuing News Stories
熟练 Reconciliation
熟练 Transaction Operations
熟练 xl
熟练 Xray Equipment Maintenance
熟练 طلاقة في اللغة الإنجليزية

语言

中级 英语