概要

Responsibilities
Financial Reporting
• Monthly Spindle Cost in preparation of Monthly Accounts.
• Preparation of Inventory valuation of Finish Goods and Raw material • Normal Tax Working
Accounts &Trial Balance (GL Module)
• Reconciliation of monthly Trial Balance and all the required provision & adjustments helps in preparation
of Monthly Accounts
• Sales Reconciliation.
• Reconcile if any abnormal balance is reflecting in Trail Balance.
• Reconciliation of Sister Concern (related party) ledger and payment of Outstanding Balance.
Advance Income Tax
• Preparation of Advance Income Tax Detail, deducted on Export proceeds, Imports and Others • Arrangement of Supporting Documents of Advance Income Tax
• Preparation of Advance Tax File for onward Submission to In house Tax Dept.
Sales Tax
• Reconcile & Prepare Withholding Sales Tax FBR &SRBVoucher.
• Prepare sales tax file with proper filing of the sales tax registers & invoices provided by the concern dept.
• Reconciliation of Input Sales Tax ledger with Sales tax Return& follow up of Outstanding Invoices.
• Ensure correct recording of Sales Tax Payable/Refund and Inadmissible input through GL
Module in ERP.
• Preparation of RCPS data for refund.(Sales Tax)
Page 1 of 3

Income Tax
• Checking of Income Tax Challan (PSID)
• Preparation of Withholding Income Tax Certificate of suppliers on yearly basis. • Reconciliation of Withholding tax statement with FBR and IRIS.
• E-Filing of Withholding Income Tax Return U/S 165(1)on Bi-annually and U/S 149 on yearly basis.


Banking & Finance Related Tasks
• Bank Reconciliation Statement
o Bank Reconciliations status assurance on monthly basis.
o Preparation of Monthly Bank Reconcile Statement of Complex Bank Accounts.
o Check & ensure timely preparation of Monthly Bank Reconciliation Statements for onward
submission to CEO
• Others
o Prepare Quarterly payments of Loan & Mark-up based on working duly checked by Finance Dept.
o Preparation of Hypothecation Report and Letters for onward submission to Finance Dept.
o Receipt and recording of documents for new short term financing facilities from Finance Dept.
o Preparation of Short-term & Long Term Markup workings.
o Fund Arrangement for mill cash transactions.
o Fixed Assets Project Detail & movement.
Payable Module
• Ensure correct recording of supplier invoices in ERP
• Checking of Bank Payment Vouchers on daily basis.
• Check and ensure proper deduction of withholding taxes (Provincial Sales Tax and Income tax) from
payments.
• Checking & Correct update of deduction of Staff income tax, installment of loan and advances against
salaries & wages in the deduction report.
• Check & ensure timely payment of EOBI and Social Security • Working & Payment of all utilities bills.
Audit
• Timely prepare/updating of audit details on Quarterly Half yearly & annual audit
Others
• Prepare valuation for insurance coverage on weekly basis
• Perform and ensure the completion of any work and assignment as per requirement of the organization • Checking of Mills Cash Payment & receipt.
• Prepare Admin expenses and other related details for onward Submission to CEO.

工作经历

公司标识
Deputy Manager
Tata Textile Mills Ltd
Sep 2011 - 代表 | Karachi, Pakistan

Deputy Manager Accounts

looking for a better opportunity that can enhance my skill and abilities

学历

Khadim Ali Shah Bukhari Institute of Technology
硕士, 工商管理硕士学位, MBA Finance‎
Accounting & Finance
CGPA 3.4/4
2016
University of Karachi
学士, 贸易学士, B.com‎
Accounting, Business Management, Business Economics
等级 B+
2010
S.M govt. arts and commerce college
中级/A级, 贸易学学生, I.com‎
Computer, Accounting
所占比重 69%
2008
Shan Grammar School
大学入学/0级, 科学, Ssc‎
Computer
等级 A
2005

技能

熟练 Accounts Payable And Reports
熟练 Accounts Reconciliation and reports
中级 Financial Accounts And Related Reports
熟练 Handling Assignments

语言

中级 英语