概要

To obtain a appropriate position where I will be able to contribute my skill, knowledge and experience to a company that will give me an opportunity to develop my career.

工作经历

公司标识
Accountant
M/s. Tri Star Enterprises
Nov 2016 - 代表 | Karachi, Pakistan


·      Maintain Daily Cash and Bank Ledgers.
·      Work on Receivables and Payables on daily basis.
·      Book keeping of transaction, post journal voucher, managing documentary evidences and filing.
·      Maintaining book of accounts on daily basis with proper reconciliation of closing balances.
·      Prepare and verify job wise customer invoices and summaries. Dispatch invoices and keep complete record
·      Ensure timely bank payments and communicate effectively with clients for quick resolution of matters.
·      Ensure completeness of payment documents and Bank transactions (deposits, withdrawls and submission of challans and cheques).
·      Review and check all transactions complies with Organizational requirements.
·      Filing monthly sales tax return on SRB.
·      Preparing monthly staff payroll and payments.
·      Produce error-free accounting reports and present their results.
·      Reconcile financial discrepancies by collecting and analyzing account information, making Proof of payments and receipts, and solve pre & post audit Reconciliation.
·      Reconciling all balance sheet and income statement accounts closing balances on a monthly/quarterly basis.
·      Handle monthly, quarterly and annual closings process.
·      Assist in preparing year-end books for Tax Return.
·         Develop reporting requirements as required by management.
Perform other duties, as necessary and/or as requested.

公司标识
Accounts & Recovery Officer
M/s. Biotech Pakistan (Pvt) Ltd
May 2016 - Nov 2016 | Karachi, Pakistan


·      Reconcile Daily Cash and Bank Ledgers.
·      Work on Receivables daily basis.
·      Contact to parties for collection of due payments.
·      Visit to client offices for recovery of receivables & deposits and collecting cheques & Tax Challan.
·      Supervision of Lahore & ISB branch for recovery of receivables & Deposits.
·      Keeping record of submitted Invoices, delivery challan & installation report of equipments.
·      Resolve any issue relating to recovery from relevant departments.
·      Book keeping of transaction, post journal voucher and evidences.
·      Prepare Cheque & Pay order as per requirements.
·      Reconcile all transactions complies with Organizational requirements.
·      Preparing monthly staff payroll and payments.
Perform other duties, as necessary and/or as requested.

公司标识
HR & Admin Officer
M/s. Masood Engineering Works
Jan 2016 - May 2016 | Karachi, Pakistan


·      To hire and fire the employees according to workload.
·      Forecast employee requirement department wise as per production demand.
·         To maintain employees record, daily attendance and overtime record.
·         Preparing weekly and monthly employees payroll and payments.
·         Prepare daily purchase material request as per department requirements.
·      Check daily inward material and send to relevant department after inspection.
·      Supervision of daily all department area cleaning and safety requirements.
·      Dispatch goods to client after checking all necessary requirements.
Perform other duties, as necessary and/or as requested.

公司标识
Store / Admin Executive
M/s. Pinnacle Recycling (Pvt) Ltd
Oct 2013 - Apr 2015 | Hub Chowki, Pakistan


·      To maintain stock items rates and make purchase requisition for taking quotation and purchasing as per minimum and maximum stock level.
·      To make issuance of daily stock items instead of exchange defect items.
·      To make Gate Pass, Work Order, daily inward detail, and Receiving and Inspection Report.
·         Calculate per unit cost of stock items and maintain monthly stock beginning balance, receiving and issuance for recording assets and expenses.
·      Prepare daily purchase material request as per department requirements.
·      To maintain office records, employees’ information, daily attendance, overtime record and prepare the entire employees payroll.
·      To disburse salaries amongst all concerned employees and also issue loan to employees as per company policies.
·      Deals in office cash and expenses voucher.
·      Forecast employee requirement department wise as per production demand.
·      Supervision of daily all department area cleaning and safety requirements.
Perform other duties, as necessary and/or as requested.

公司标识
Administrator
M/s. Paksons (Pvt) Ltd
Dec 2004 - Oct 2013 | Karachi, Pakistan


·         Management Reporting
·         Maintain Employee Record
·         Control More Than 200 Employees
·         Hire and Fire The Employees According to Workload
·         Visit to Government Institution
·         Daily Attendance
·         Monthly Payroll
·         Salary Distribution
·         SESSI Payment
·         EOBI Payment

学历

Institute of Cost & Management Accountancy of Pakistan (ICMAP)
证书, ‎
Accounting & Finance
Completed
2019

技能

熟练 4 Knowledge of Taxation
熟练 Accounting+
熟练 Administration Knowledge
熟练 Balance Sheet Handling
熟练 Corporate Tax
熟练 Final Accounts
熟练 Financial Accounting
熟练 Financial Statement Analysis+
熟练 Full & Final Settlement
熟练 Handling Assignments
熟练 Islamic Banking
熟练 Job Applications Processing
熟练 Microsoft Excel
熟练 Oracle Software
熟练 Payroll Processing
熟练 Peachtree Command
熟练 RESTful APIs
熟练 SECP Filings
熟练 Social Welfare Management
熟练 Strategic Human Resources Leadership
熟练 Transaction Operations

语言

熟练 Saraiki
熟练 乌尔都语
中级 英语

Muhammad 联系人

Muhammad Naeem Uddin
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