概要

A commerce graduate and anticipated ACCA Finalist. Who is keen to find a key position in Accounts & Finance department? Reliable, trustworthy, numerate and meticulous. Worked for more than 9 years and gained a good understanding of what is required for a successful employee. Able to work on own initiative or as part of a team and can deal with administrative duties competently.

工作经历

公司标识
Assistant Manager Finance
APNA Microfinance Bank Limited
Nov 2015 - 代表 | Lahore, Pakistan


      Responsible for the monthly closing as well as maintenance of all accounting ledgers including monthly review of all account reconciliations and journal entries.
      Works at both actual and accrual-based accounts.
      Reconcile accounts payable transactions & ensure payments are up to date.

      Research and resolve invoice discrepancies and issues.

      Coordinate with vendors regarding invoicing and payment inquiries and discrepancies.

      Check accuracy of employee reimbursement expenses before processing.

      Match purchase orders confirming prices and quantity to vendors’ invoices.

      Process cheque requisitions & petty cash vouchers, reporting to management.    

      Record transactions pertaining to prepaid expenses & accrued incomes i.e. prepaid rent, insurance, commissions and record in general ledger.

      Preparing aging report of Invoices for credit collection/ Payment.

      Preparation of all financial reports, including Profit and Loss Statement, Balance Sheet as well as the year-end MIS reports.

      Calculation & accounting of depreciation- disposal of assets-calculation & accounting of profit/loss on disposal-physical variation of assets-generating other asset related reports.

      Preparing payroll sheet and salary disbursement-salary transfer-calculation of end service obligation.

      Giving commendable support to make Monthly Budget & Reports.

      Work with external auditors during reviews and audits.

      Preparation of Micro watch data on Quarterly basis for submission to State bank Of Pakistan.

      Preparation of Bi Weekly report for Submission to State bank Of Pakistan on Fortnightly Basis.

      Handle all Capital work in progress record and capitalize on the completion of Work.

      Analysis of revenue and expenditure trends.

      Preparations of different kinds of reports for financial decisions.

      Analysed sub-ledgers and accounts on a regular basis to identify variances from expectations.

      Ensured proper distribution to the general ledger accounts.

      Assisting supervisors to calculate the Provision for Advances.

      Preparation of Denomination report for onward submission to State bank Of Pakistan on Monthly basis.


公司标识
Accounts Officer
punjab group
Jan 2022 - Mar 2022 | Lahore, Pakistan

Work with shared accounts department

公司标识
Audit Senior
RASCO Chartered Accountant Lahore
Jan 2015 - Nov 2015 | Lahore, Pakistan

ü  Performing various task in Planning, Execution and Reporting stages of an Audit.
ü  Performing test of controls for different operating cycles of various organizations.
ü  Performing walk-through for procurement, payroll and other significant high risk areas.
ü  Performing test of details on the basis of materiality for the class of transaction and account balances.
ü  Preparing observation checklist.
ü  Preparing management letter points.
ü  Assisting supervisor for data compilation and report preparation.
ü  Preparing of Financial Statements.
ü  Supervising the input and handling of financial data.
ü  To resolve accounting discrepancies.
ü  Analysis of revenue and expenditure trends.
ü  Cash Flow Management and Forecasting.
ü  Production of Monthly Management Account.
ü  Analyzed sub-ledgers and accounts on a regular basis to identify variances from expectations.
Ensured proper distribution to the general ledger accounts

公司标识
Accounts Manager
Zahid Motors Khanpur.
Jan 2010 - Dec 2012 | Khanpur, Pakistan

ü  Monthly Reporting on cash flows and Accounts.
ü  Project Appraisal & Feasibility Studies.

ü  Maintain Accounting Transaction.

ü  Deal with Debtors/creditors for A/C reconciliation.

ü  Preparation of monthly Bank Reconciliation Statements.

ü  Preparation of Administrations Salary.

ü  Assist in Developing Standard Operating Procedures.

ü  Assisting the manager in data compilation.

ü  Dealing with bank related Matters.

ü  Invoicing and ordering.

ü  Customer dealing.

ü  Administration responsibility.

学历

ACCA Pakistan
证书, ACCA (Associate Chartered Certified Accountant)‎
Finance, Accounts, Audit, Tax
Incomplete
2022

技能

熟练 4 Knowledge of Taxation
熟练 AAccounting
熟练 Account Management
熟练 Accounting
熟练 Accounting+
熟练 Accounts
熟练 Accounts Administration
熟练 Accounts Administration
熟练 Accounts Adminstration
熟练 Accounts Finalization
熟练 Accounts Handling
熟练 Accounts Management
熟练 Accounts Payments Handling
熟练 Accounts Production
熟练 Accounts Receivable Command
熟练 Accounts Receivable Process
熟练 Accounts Receivable Skills
熟练 Accounts Reconciliation
熟练 Accounts Software Command
熟练 Analytical Skills
熟练 Audit
熟练 Audit Assignment Handling
熟练 Audit Management
熟练 Auditing
熟练 Auto Banker 2 & 3
熟练 Balance Sheet Handling
熟练 Balancing Budgets
熟练 Bank Dealing
熟练 Bank Reconciliation
熟练 Bank Reconciliation     
熟练 Bookkeeping
熟练 Bookkeeping Knowledge
熟练 Budget Forecasts
熟练 Budget Monitoring
熟练 Budgeting & Forecasting
熟练 Budgeting Skills
熟练 Business Acumen
熟练 Capital Budgeting
熟练 Cash Flow Management
熟练 Cash Flow Reporting
中级 CEM Deployment
熟练 Chartered Financial Analysis
熟练 Close Attention to Detail
熟练 Command over Financial Statements
熟练 Commercial Banking Knowledge
熟练 Communication Skills
熟练 Compilation of Financial Statements
熟练 Cooordination Skills
熟练 Corporate Accounting
熟练 Corporate Finance

语言

熟练 Saraiki
熟练 旁遮普语
中级 英语
熟练 乌尔都语