Masters of Accounting and Finance last symester.br/Finance working experience , import with bank dealing , Financials, taxation, payroll, Bank recons, Receivables and payables clients dealing, nostro Accounts recon, warehouse and stock handling, Branch operationsbr/Day to day Accounting controll, cash managmentbr/According to IAS, and working knowledge of IFRS And FBR portals.Liasons with Interna external Auditors.br/Microsoft Office and Typing Certificate from Al-Rahim Commercial Center with 35.Words P/M. Worked on Accounting Softwares VISUAL BASIC PIBAS IMAAL banking Softwares , STATE BANK OF PAKISTAN Reporting (ITRS, FXCRS, MMCRS, RTGS), Oracle, Tally ERP and peachtree.
working in Bays international as an Accounts Officer .Job Description is to prepare Ledgers Reconciliation of Debtor parties and Follow up for payments and recovery. Coordinate with relevant staff to followup . Bank and Cash voucher postings in Business expert software. Reporting to management and Branch managers to for Debtor Clients recovery. worked as the instruction of for different king of reportings related to Sale Discounts, Claims and sale returns.
Import Documentation and Complete Accounts Work in Accounts Department with Final Accounts, Audit and Taxation.
Final Accounts, Income Tax Returns, Monthly Payroll, SECP Filing, Cash Flows Fund Flows, All work related to Finance and Accounts Department.
Final Accounts, Dealing with Tax Consultant, Sales and Purchase Managment, Inventry Management, Stock Dealing, sales Tax Submission Via eFiling System of
Govt. of Pakistan.