概要

Extracting data from the accounting application, analyzing the same and preparing the required management reports on periodic basis.
• Recording revenues based on the reports of POS and deposits collected at sales units.
• Calculating cost of goods sold and working to account for the inter-company / unit transactions.
• Preparing bank reconciliation statements.
• Comprehensive financial reporting and analysis.
• Ensuring that all the expenses are correctly accounted for in the books of accounts.
• Tracking the unrecorded transactions and accounting for of the same.
• Timely preparation of management reports such as P&Ls and balance sheet
• Well versed with the basic accounting concepts
• Invoice processing Knowledge
• Vendor Reconciliation Skill
• Extracting data from the accounting application, analyzing the same and preparing the required management reports on periodic basis.
Responsible for entire Accounting / Document Management and clerical jobs of the company.
Recording of expenses & Purchases and materials delivery.
Make profit & Loss report and submit to the Managing partner.
Analyze cash flow
And suggest effective method to increase the profitability of the organization.
Keep and track all company related documents like, Proposals, Purchase orders, and retrieve them in no time, when required by the relevant employees.
Installation and back up of Tally.
Urgent maintenance of computer hardware and software up gradation etc.
Maintaining the books of accounts up to finalization.
Receipt, issue and inventory control of material.
Bank deposits, Payments and reconciliation.
Preparation of Month end reports, Year end reports.
Evaluate monthly profit and loss account.
Checking vouchers with supporting documents.
Checking all the tax related documents.
Correcting the ledger accounts.
Preparation of Vouching Notes.
Preparation of individual salary statements on monthly basis.
Preparation of Depreciation

工作经历

公司标识
Sr Accountant
falcon holdings Managments
Aug 2018 - 代表 | Rawalpindi, Pakistan

Sr Accountant
 Extracting data from the accounting application, analyzing the same and preparing the required management reports on periodic basis.
 Recording revenues based on the reports of POS and deposits collected at sales units.
 Calculating cost of goods sold and working to account for the inter-company / unit transactions.
 Preparing bank reconciliation statements.
 Comprehensive financial reporting and analysis.
 Ensuring that all the expenses are correctly accounted for in the books of accounts.
Tracking the unrecorded transactions and accounting for of the same.
Timely preparation of management reports such as P&Ls and balance sheet
Well versed with the basic accounting concepts
Invoice processing Knowledge
Vendor Reconciliation Skill
Extracting data from the accounting application, analyzing the same and
preparing the required management reports on periodic basis

公司标识
Accountant
Sinbo Co Turkey ( Al Mumtaz Trading Company)
Sep 2016 - Jun 2018 | Rawalpindi, Pakistan

Responsible for entire Accounting / Document Management and clerical jobs of the company.
Recording of expenses & Purchases and materials delivery.
Make profit & Loss report and submit to the Managing partner.
Analyze cash flow
And suggest effective method to increase the profitability of the organization.
Keep and track all company related documents like, Proposals, Purchase orders, and retrieve them in no time, when required by the relevant employees.
Installation and back up of Tally.
Urgent maintenance of computer hardware and software up gradation etc.
Maintaining the books of accounts up to finalization.
Receipt, issue and inventory control of material.
Bank deposits, Payments and reconciliation.
Preparation of Month end reports, Yearend reports.
Evaluate monthly profit and loss account.
Checking all the tax related documents.
Preparation of individual salary statements on monthly basis.
Preparation of Depreciation statements.
Preparing monthly cost reports.
Posting of petty cash with day end reconciliations.
Posting of vouchers/ bills in GL.
Knowledge of WHT deduction, deposit and reconciliations with ledgers and banks.
Knowledge of e-filling of WHT along with rules and dates of filling.

公司标识
Accounts Manager
Promed Distributors
Mar 2013 - Sep 2016 | Islamabad, Pakistan

pharmaceutical Distribution

公司标识
Accountant
Shahd Khan & Sons Construction
Jan 2005 - Dec 2008 | Rawalpindi, Pakistan

Construction Company

学历

University of Peshawar
硕士, 工商管理硕士学位, MS/MBA in Finance‎
Accounting & Finance
2010

技能

熟练 Accounts
熟练 Accounts Management
熟练 Bookkeeping
熟练 Condiments Making
熟练 Cooordination Skills
熟练 Corporate Accounting
熟练 Corporate Finance Departments
熟练 Fluent in Pushto
熟练 Handling Assignments
熟练 Microsoft Outlook
熟练 Payroll Processing
初学者 Peachtree Command
初学者 Personal Tax Filings
初学者 Provident Fund Management
熟练 Receivables
熟练 Revenue Recognition
熟练 Sales Audit
熟练 Social Welfare Management
熟练 Stock Control
熟练 Teller Services
熟练 Transaction Operations
熟练 Vehicle Allocation
熟练 Voucher Management
熟练 Working Capital Management
熟练 تسوية المدفوعات

语言

熟练 旁遮普语
熟练 乌尔都语
熟练 普什图语
熟练 英语