概要

As an Finance with over Six year experience, I bring with me a keen ability to manage accounts and remove any discrepancies. Budgeting and analysis are my forte and I am quite familiar with the major applications and software used in the industry team work and meticulousness help me solve problems easily.I am consistently seeking ways to improve processes.
My resume is enclosed to provide you with specific details concerning my background and qualifications. I would appreciate the opportunity to interview for this position, as I am certain that a face-to-face meeting would more fully reveal my positive attitude and ability to meet your
expectations.

项目

Climax Software Chart of Accounts
Bizztraxx Software Impliment

工作经历

公司标识
Senior Finance Executive
Marwat Group
Nov 2018 - 代表 | Karachi, Pakistan

Maintained the Core Segment Accouts of Shell Pakistan Limited.
and maintained Total Parco Pakistan work,
Preparation of Financial Reports with Chief Financial Officer
Handle all the  corresponding work with Shell Pakistan
Managing records and receipts
Keep accurate records for all daily transactions
Prepared Sales Tax invoices for Shell after the Working of PBR Monthly Report
Update internal systems with financial data
Prepare monthly, quarterly and annual financial reports
Reconcile bank statements
Manage complete Accounts with the support of Assistant.
Maintained up to date accounting records, completion of reports/month ends.
Prepare and submit monthly reports.
Supervision of periodic reconciliation for bank, cash and inter office transaction.
Manage accounts Payable , receivables and ensure proper maintenance of vendor accounts and timely clearance of outstanding advances and other receivable.
Coordinate and communicate with bank, consultants and vendors for timely receipt and disbursement of funds.
Ensured accuracy in preparing the primary and secondary sales analysis before presenting to the senior management for monthly review meeting.
Prepared the data as per the requirement of Shell Pakistan and Verified the freight rate and tracker report in SAP. Furthermore, assisted the Operation department in rectifying the initial errors in the report
At the end of the month, make adjustments entries to prepare Profit & Loss
statement.
Assist in preparation of Profit & Loss Statement and Balance Sheet.
Supporting the Finance Manager and executives with projects and tasks when required.

公司标识
Accountant
Cool & Cool Pakistan
Feb 2017 - Oct 2018 | Karachi, Pakistan

Post Purchase invoices and filing it with serial number.
Prepare Receivable aging report and follow up for the payments according to the report
Prepare Payable aging report & make Cheques of suppliers according to the
aging report on semi monthly and monthly basis
• Prepare Inventory consumption report on monthly basis. On the basis of
monthly Inventory consumption report and purchase order from customers
side, forecast next month Inventory requirements..
To Maintain Sales/Purchase Summary. D Prepare Monthly Profit & Loss account and Balance Sheet. D To Maintain Cash Ledger and Reconcile Bank Statement monthly. D To maintain Trial Balance, Balance Sheet, profit & loss Account Bank Reconciliation Reconciliation of Accounts Receivable Petty Cash Handling Ensure Accurate Recording.

公司标识
Account Assistant / Accountant
SM&Co.Management Accountants & Tax Consultant
Dec 2015 - Oct 2018 | Karachi, Pakistan

Manage Various Client Accounts Including Coca-Colca & Cool&Cool Third Party Comapany Accounts.
Maintaining Receivables & Payables Ledgers. D Maintaining books of accounts in accounting Software. D Prepare Monthly Profit & Loss account and Balance Sheet. D To Maintain Cash Ledger and Reconcile Bank Statement monthly. D To maintain Trial Balance, Balance Sheet, profit & loss Account. D Maintaining Owner’s capital and investor’s accounts 
At the end of the month make different types of report for decision purpose.
• Prepare financial statement (Profit & Loss, Balance Sheet).

公司标识
Accountant
Cocacola beverages pakistan Ltd.
Dec 2015 - Jan 2017 | Karachi, Pakistan

Bank Reconciliation Reconciliation of Accounts Receivable Petty Cash Handling Ensure Accurate and
Appropriate Recording and Analysis of Revenues and Expenses. Follow Established Procedures for Processing
Receipts, Cash etc. Collection, Recording and Reporting. Bank Dealing (Cash, Cheques Deposit/Withdrawal)To
Post Daily Transaction In Software To Making Salary & Distribute to staff & Directors To Prepare Monthly
Members Bills Generate,

学历

Institute of Cost & Management Accountancy of Pakistan (ICMAP)
证书, ‎
Accounting & Finance
Incomplete
2022
University of Karachi
学士, 贸易学士, Bachelor‎
Science, Mathematics, Accounting
等级 B+
2016
Govt. College for Men Nazimabad Karachi.
中级/A级, 贸易学学生, (I,COM) in Commerce‎
Accounting, Statistics, Economics
等级 B
2012
S.M Hafiz-ur-Rahman
大学入学/0级, 科学, Matriculation in Science‎
Science, Mathematics
等级 A
2010

技能

熟练 finan
中级 Account Management
熟练 Accounting Cycle
熟练 Accounts
熟练 Accounts Acquisitions
熟练 Accounts Payable
中级 Analytical Skills
初学者 Banking Relationships Management
中级 Book closing
中级 Busy Express Accounting Software
初学者 Cash Flow Management
中级 Credit Analysis
中级 Expense verification
熟练 Finanace Knowledge
熟练 Financial Accounting
中级 Financial Statement Analysis
熟练 Handling Assignments
中级 Manual Sketching And Modeling
中级 Oracle Software
中级 Payroll Analysis
中级 Reconciliation
中级 self-motivation. preparing accounts and tax
中级 Siddat Hyder Financials
中级 Social Welfare Management

语言

熟练 乌尔都语
中级 英语

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