概要

MEHRAN MALIK - (MBA FINANCE)

Mobile: +92-308-8948887
E-mail: [email protected]
_____________________________________________________________________________________



Enthusiastic in working with multinational companies. Team player and can be easily integrated with other cultures. Organized and ready to learn new technologies and tools.
Punctual, team worker, loyal, Ready for new Challenge, & Sincere with Work.

STRENGHTS
 Understanding of all procedures from preparation of invoices till Audit of Books..
 Good command in Microsoft Office especially MS Excel, MS Word,
 MS Power Point, Internet & In page, etc
 Good Knowledge about Accounting software(Oracle, peach tree, DMS, Busy, Tally, Green Belt )




 MBA (Finance)
MBA( Master of Business Administration)
Southern of Punjab

 B.Com (Bachelor in Commerce)
B.Com( Bachelor in Commerce)
Bahuddin Zakariya University Multan

 D.COM
Diploma in Commerce
International Commerce College
 I.Com (Intermediate of Commerce)
 International Commerce College

 Metric ( Arts)
 F.G. BOYS HIGH SCHOOL #. 1


 Honest
 Good Team Player
 Investigative
 Pro-active problem solver
 Creative and Learner
 Punctual
 Loyal

 Date of Birth : 01-04-1986
 Religion : Islam
 Material Status : Married

工作经历

公司标识
Assistant Accounts Manager
Aziz group of industries
Apr 2017 - Mar 2018 | Multan, Pakistan

Aziz Group of Pakistan(April 2017 – March 2018).
(Fertilizer & Chemical)
Accounts Manager.
Role in Accounts :-

 Prepare the Sale Invoice.
 Prepare the P.R Posting.
 Prepare Sale & Collection Reports.
 Prepare Bank Reconciliation.
 Prepare the Parties Recovery Report
 Prepare the Dealership.
 (Sale Team Coordination)
 Prepare the Credit Parties Record and Status.
 Prepare the Business Agreements.
 Prepare the Target Vs Ach Report.
 Prepare the recover data which lost from Software.

公司标识
Accountant
Tara Crop Sciences (Pvt.) Ltd.
May 2016 - Apr 2017 | Multan, Pakistan

(Fertilizer & Chemical)
Accountant.
Role in Accounts :-


 Preparation of Sale Invoices
 Preparation of Sale Analysis Reports MTD, YTD
 Prepare the Target Vs Ach Products report
 Prepare the Parties Payment & Recovery Sheet.
 Prepare ER Expense Report.
 Prepare Dealership Report.
 Prepare Parties Wise Sale Report ( Sale, Cash & Micro Sale)
 Prepare Stock Reconciliation Report
 Prepare all types of Vouchers
 Preparations of Bank Reconciliation Statement.
 Preparation of PR’s.

公司标识
Account Officer
Nestle Distribution
Oct 2014 - Mar 2016 | Multan, Pakistan

(FMCG)
Accounts Officer
Role in Accounts :-
.
 Preparations of Daily Daybook
 Preparation of Sale Invoices.
 Purchase and Stock Reconciliations
 Preparations of Bank Reconciliation Statement.
 Party Payments Sheet.
 Preparation of Provisional Receipts.
 Preparation of J.V,s.
 Clearance of Reconciling Items & ensure all types of Vouchers. Warehouse Stock Retail

Other Responsibilities:-

 Analysis and reconciles expenditure, revenue, payable, receivable accounts periodically.
 Responsible for preparing cash, bank and journal vouchers, their corresponding postings
 Posting all month end provisions entry e.g. Leave salary, Gratuity, Depreciation.
 To manage monthly general ledger posting and passing necessary journal entries to make system more accountable.
 Salary process by WPS.
 Dealing with Bank regarding Bill and Cheque discounting and related working.
 Ensure that the company’ accounting records are prepared and updated accurately and in a timely manner at all times.
 Intercompany balance reconciliations & confirmation.
 Bank Reconciliation
 Sale Purchase & Stock Reconciliation
 To Ensure Parties Payment & Receivable Report

公司标识
Finance Officer
Saifal Oil Mills Ltd
Jan 2010 - Dec 2012 | Multan, Pakistan

(Finance Officer) January 2010-December 2012
Company Introduction:-
Manufacturing Nature , Import & Export ( Cotton Seed converted into Oil)
Duties:
 Receivables follow up for more than 150 credit customers, checking for correct billing, sending monthly Statement of accounts and follow up for receivables.
 Discuss & Negotiated with all banks as well as maintained all relevant records.
 Preparation of Bank Reconciliation Statement for every month.
 Debtor and Creditor reconciliations.
 Receivables follow up.
 Maintaining cash flows of company.
 Supervising the work of Invoicing, Stock reconciliation and petty cash.
 Managed the problems regarding financial matters of the factory.

学历

Institute of Southern Punjab, Multan
硕士, 工商管理硕士学位, MBA Finance‎
Cost Accounting, Advance Accounting, Finance Accounting
CGPA 2.6/4
2012

技能

熟练 Peachtree
中级 selling to customer needs
熟练 1. Planning & organization
中级 2. Taxation Knowledge
中级 4. Analytical and numerical
熟练 Accoount Management
熟练 Accounting Software experience is Mandatory.
熟练 Accounts
中级 Analytical
中级 Analytical and Numerical
熟练 Analytical Skills
熟练 Answering Inquiries
熟练 BGM / DME
熟练 Buisness Acquisition
中级 Business Development Process
熟练 computer work
熟练 Conservation Awareness
熟练 Critical Control Points Knowledge
熟练 Employment Forms Processing
中级 Financial Statement Analysis+
中级 Fluetn in English
熟练 General Accounts Management
熟练 Generate Trend Analysis
熟练 h Operations Management
熟练 Handling Assignments
熟练 Key Account Handling
中级 Meeting Sales Goals
熟练 Operational Tasks Handling
中级 Peachtree Command
中级 Planning Organization
熟练 Production Schedules
中级 Relations Management
中级 RESTful APIs
熟练 Sales Audit
熟练 Vehicle Allocation

语言

初学者 阿拉伯语
熟练 乌尔都语
中级 英语