概要

To work in an organization where I can utilize my abilities for the betterment of the Organization as well as for myself.

工作经历

公司标识
Customer Relationship Officer
Swift Property Management Services (Pvt) Ltd.
May 2019 - 代表 | Karachi, Pakistan


1. Ensuring complaints are received from CCI.
2. Aligning and printing job cards.
3. To ensure complaints assignment to technicians.
4. To ensure complaints resolving SOP should be follow.
5. To ensure daily CSF report should be send CCI.
6. To ensure reconciliation for billing data should be twice in every month.
7. To share daily Monitoring report of technicians.
8. To ensure daily efficiency of technicians.
9. To monitor Redo complaints and notify supervisor as well as project manager on Redo cases to act accordingly.
10. Controlling the repeat complaints up to 10 %.
11. Ensure calling and feedback report from customers.
12. Making daily profitability report.
13. Daily report send to CEO. 

公司标识
Branch Accountant
PEL Service Centre Gulshan Branch
Oct 2017 - Oct 2018 | Karachi, Pakistan


1. Cash Deposited into Bank & record to Coms.
2. PEL & Corporate Job Card Close in Coms.
3. Cash Received in Technicians Agst. Job Card and Record in Coms.
4. Corporate Billing Reconcile & Finalize Monthly Basis.
5. Daily Expense Record in Coms & Monthly Expense File Dispatch to H.O.
6. Manual Receipt, Gate Pass, Unit Receiving Books Record.
7. Monthly Stock Reconciliation & Report Dispatch to Head office.
8. Scrap Sale and DO Record in Coms & Monthly Scrap Report Send to H.O.
9. Daily Cash Sale Record in Coms.
10. Monthly Attendance Sheet send to Head office.
11. Monthly Oil Change, HP Cartage Refill Approval send to Head office.

公司标识
Branch Accountant
Ruba Digital Pvt Ltd (Bufferzone Branch)
Sep 2016 - Jul 2017 | Karachi, Pakistan

 Prepare Post Dated Cheques & PDC Record in System.
 Cheques & Cash Deposited into Bank & record to System
 Bounce & Realize Cheques Record to the System and Bounce Handed over to CRO.
 Customer Payment Received & Record to the System.
 HP Forms Record in System & HP Forms Send to Head Office Monthly Basis.
 Corporate Bill Reconcile Monthly Basis.
 Manual LPR Books & OGP Books Record.
 Branch Petty Cash Handling. Expense File send to Head Office.
 Stock Reconciliation & Inter Branch Stock Reconciliation.

公司标识
Branch Accountant
Dawlance Group of Companies
Jun 2008 - Sep 2016 | Karachi, Pakistan

 Prepare Post Dated Cheques.
 Cheques & Cash Deposited into Bank & record to System.
 Bounce & Realize Cheques Record to the System and Bounce Handed over to CRO.
 All JV’S, CJV’S, RV, SJV Record to the System.
 Corporate & Walk-in Customer Payments record to the System.
 Corporate & Walk-in Customer HP Forms Record in System & HP Forms Send to Head Office.
 Corporate Bill Reconcile Monthly Basis.
 Every 03 Months Shops Audit.
 Manual Receipt Books & DC Books Send to Head office.
 Branch & Shop Petty Cash Handling. Expense File send to Head office
 Stock Reconciliation & Prepare Inter Branch Stock Reconciliation.
 Prepare Bank Reconciliation.

公司标识
Accountant
Adamjee Insurance Co. Ltd.(Aziz Khadeli Br.)
Aug 2006 - May 2008 | Karachi, Pakistan

1. Making Corporate Cheques in Daily Basis.
2. Preparation Debit Vouchers and Covering Letter on Daily Basis.
3. Preparation Impress Account on Monthly Basis.
4. Prepare Parties outstanding statement on Monthly Basis.
5. Prepare Bank Reconciliation.
6. Daily General Voucher Entries Record in System.
7. Branch Petty Cash Handling & Recording in System.

公司标识
Accounts Data Entry + Inventory Controller
Gaba Fabrics
Jun 2005 - Jul 2006 | Karachi, Pakistan

 Customer Payment Record to the System.
 Preparation & Posting Entries of Container List.
 Stock Record to the System.
 Packing the Item Bundle and Marking the Bundle.
 Making Journal Voucher record to the System.
 Inventory and Other Item Receiving.
 Attendance of all Employee & Labor of Company.
 Customer Dealing & Front Desk Sales.
 Salary Distribution to Labor on Weekly Bases.
 Bank Reconciliation & Adjusting Entries.
 Prepare & Analyzing Financial Statement.

公司标识
Supervisor Electric Publication
Xibercom (Pvt) Ltd.
Jul 2003 - Aug 2005 | Karachi, Pakistan

 Picking Stories from the QXD. Format & saving it as txt.
 Running Macros.
 Generating DWAN the internet Edition Magazines & Special Reports using the in house developed program.
 Placement of ADS on the DIE (DWAN Internet Edition) issue as directed.
 Interesting Selected Stories into the DINA (DWAN Internet News Alert)
 DWS (DWAN Wire Services) and Breaking News with in Template.
 Inserting Latest news with in the format specified.
 He is able to adequately handle Uploading & Downloading the files from server using FTP Software.

学历

Federal Urdu University of Arts, Sciences and Technology
学士, 贸易学士, Graduate‎
Accounting
CGPA 1.1/4
2012
NOOR COLLEGE OF PROFESSIONAL OF EDUCATION (NCPE)
大专, One Diploma in I.T.‎
Information Technology
Completed
2002

技能

熟练 banking
熟练 QuickBooks
初学者 Accounting
初学者 Accounting Cycle
熟练 Accounting Entries
熟练 Accounts Software Command
中级 Accurate Record Keeping
中级 Admirative Assistance
中级 Analytical Skills
熟练 Audit Reports Management
中级 • Minimum Qualification B. Com Graduate
熟练 Bank Reconciliation on
熟练 Book Keeping
中级 Cash Handeling
中级 clearance
中级 Company Expenses
初学者 Cost Controling
初学者 Delivery Plans
中级 Design With UML
初学者 Email Drafting
中级 Experienced In Accounting And Financial
初学者 Financial Statement Analysis
初学者 Fitness Consultation
熟练 Handling Assignments
熟练 Inventory Accounting
中级 Legal Affairs Management
中级 Microsoft Excel
熟练 Microsoft Outlook
熟练 Minimum 2 Years’ Experience
中级 Mircosoft Office
中级 MS Excel
中级 MS Excel Skills
中级 Network Security Administration
初学者 Payroll Management
中级 Payroll Processing
中级 Peachtree Command
熟练 Petty Cash Handling
中级 Presentation Skills
初学者 Quotation Summary
中级 Reporting
中级 Social Welfare Management
熟练 Stock Control
初学者 Tax Preparation
初学者 Taxation
中级 Teller Services
熟练 Vendor Payment Reconciliation
中级 Voucher Management

语言

中级 英语
熟练 乌尔都语
熟练 信德语