概要

Maintain all Day to Day Operations of Accounts Department, Record all Financial Transactions in Books of Accounts and In Software. Reports To Management and Executives on Daily, Weekly and Monthly Basis.
Reconcile Bank Ledgers and Contractors Ledgers with Vendors and Service Providers of Society on a Weekly Basis to keep updated the Account Receivable and Payable Balances. Maintain Payroll Records like Employees Attendance, Leaves, Benefits and Deductions for the Smooth reimbursement of Salary.

工作经历

公司标识
Accountant
The Model Town Cooperative House Building Society Ltd Sialkot
Nov 2021 - 代表 | Sialkot, Pakistan

Society Maintain all Day to Day Operations of Accounts Department, Record all Financial Transactions in Books of Accounts and In Software. Reports To Management and Executives on Daily, Weekly and Monthly Basis.Reconcile Bank Ledgers and Accounts Ledger with Contractors, Vendors and Service Providers of Society on a Weekly Basis. Maintain Payroll Records like Employees Attendance, Leaves, Benefits and Deductions for the Smooth reimbursement of Salary.

公司标识
Senior Payroll Officer
Naeem electronics
Feb 2018 - Nov 2021 | Sialkot, Pakistan

Manage Payroll of more than 2500 employees of a Well known Electronics Chain Store of Pakistan.Manage Biometric Attendance Machine and SAP Payroll, Maintain New Appointee and Fired Staff List and it\'s impact on Payroll Sheet, Maintain Leaves Record of Each Employee, Calculation of Incentives, Allowances in the Specific Employee Account where applicable. Reports to CEO after finalizing Payroll Sheet monthly and it\'s Comparisons with previous Salary Sheet and also guide the management for budgeted Salary Sheet for future Months by taking in accounts Employee Turnover Ratio, Leaves, Overtimes, and Other Perks offered by Organization to their Employees.

公司标识
Internal Auditor
Dr. Naeem's lab
Oct 2014 - Jan 2018 | Sialkot, Pakistan

Revenue Reconciliation of Lab all Collection Centers (Company runs 5 different Labs in a City).Verification of All Suppliers Ledgers and it\'s Reconciliation with the Suppliers Directly to find any discripencies in credit terms, Verification of Petty Cash Expenses and Vouchers physically and verbally when required. Verification of Salary Sheet before the Salary disbursement to ensure its accuracy as per the attendance record and overtime.

公司标识
Audit Officer
chughtai lab
Nov 2012 - Sep 2014 | Lahore, Pakistan


Revenue Reconciliation as per particular Lab Test Rates verify Discount Cases as per the Company Policies of all Collection Centers and Static Labs (Company runs more than 430 different collection centers and static labs nationwide all over the Country).Verification of All Suppliers Ledgers at Head Office Accounts Department and it\'s Reconciliation with the Suppliers Directly to find any discrepancies in credit terms and Balances, Verification of Petty Cash Expenses, Bank Reconciliations at Head Office level Finance Department. Vouchers Verification physically and verbally when required as third party confirmation. Verification of Salary Sheet before the Salary disbursement to ensure its accuracy as per the attendance records and overtime. Physically visit Collection Centers and Static Labs on random Surprised basis assigned by management of the company to verify and check all the operations of the Lab assigned by Head Office and reports to Immediate Boss and Chief Operating Officer.

公司标识
Accountant
The Vitamin Company
Apr 2012 - Nov 2012 | Lahore, Pakistan

Maintain Accounts Receivable Balances as per the Terms and Conditions decided with the dealers.Maintain and record all production related transactions and Daily reporting of accounts to the CEO.

学历

SKANS School of Accountancy
证书, ACCA Finalist (11Exams Passed)‎
Accounts, Audit and Finance, Internal Management Systems and Standards
Incomplete
2009
The Ideal College of Management Sciences
中级/A级, 计算机科学学生, I.C.S‎
computer science, maths, statistics
所占比重 51%
2004
Govt. Pilot Secondary School Sialkot
大学入学/0级, 科学, Matriculation‎
Physics, Chemistry, Biology
所占比重 51%
2002

技能

初学者 Computer Literacy
熟练 Multitasking
熟练 Accounnts Management
中级 Account Mapping
熟练 Accounting
熟练 Accounting Database Command
熟练 Accounting Practices
熟练 Accounting Skills
熟练 Accounting System Management
熟练 Accounts
熟练 Accounts Administration
熟练 Accounts Payment Handling
熟练 Accounts Administration
熟练 Accounts Adminstration
中级 Accounts and Finance Reporting
中级 Accounts Finalization
中级 Accounts Finialization
熟练 Accounts Management
熟练 Accounts Payments Handling
熟练 Accounts Production
熟练 Accounts Receivable Command
熟练 Accounts Software Command
熟练 Admin Assistance
初学者 Adobe Photoshop 
熟练 Aesthetic Procedures Knowledge
熟练 Audit Assignment Handling
熟练 Auditing
初学者 B2B Business Development
中级 Balance Sheets
熟练 Bank Management
熟练 Bank Reconciliation
中级 Bank Reconciliation     
熟练 Banks Reconciliation Statements
熟练 Bookkeeping
熟练 Bookkeeping Knowledge
熟练 Bookkeping
中级 Cash Flow Management
熟练 Cash Handling
熟练 Configuring Software
中级 Content Audit
中级 Cooordination Skills
中级 Corporate Accounting
初学者 Customer Service Skills
熟练 Delievry Planning
熟练 Employment Forms Processing
熟练 ERP Command
熟练 ERP Software Command
熟练 Financial Accounting
中级 Financial Analysis
熟练 Financial Audit

语言

熟练 旁遮普语
熟练 乌尔都语
熟练 英语