Summary

To pursue a progressive career in a multiple dynamic organization which provides opportunities for both professional and personal growth, and develop skills to expand the organization’s performance.

Experience

Company Logo
Accounts Officer Treasury
Berger Paints Pakistan Limited
Apr 2021 - Present | Lahore, Pakistan

Accounts Officer Treasury
·         Cash Management
·         Preparing Cash Position & Bank Summary Report
·         Payments Regarding LC’s (Import, Local, Usance & sight)
·         Making payments of insurance premium to Jubilee Insurance
·         Receiving PPR from Jubilee and send to Banks
·         Receiving renewed policies (insurance & takaful) from Jubilee and send to Banks on year end
·         To receive Cover letters from banks for temporary extension of finance facilities  
·         To provide documents to banks for renewal of facilities (BBFS, Property Documents,Audited Accounts, projections  as required by bank)
·         Receiving debit & credit advices from banks
·         Preparing monthly Stock Statements and sent to Banks 
·         Transfer funds through “RTGS” when required   
·         To proceed Bank Guarantees (Issuance, Enhancement ,Extension & Cancelation)   
·         To proceed pay Orders related to custom clearing for import department & related to sales department to to participate in tenders (recoverable)
·         Updating cushion regarding Bank Guarantees & LC’s
·         Obtaining rates from banks for payments of Import LC’s
·         Maintaining for the month record of upcoming maturities
·         Preparing LC register monthly basis
·         Receiving debit advices from banks regarding LC pavements and direct debits
·         Markup calculations payments through “FATR ,PAD “or “Import Murabaha”
·         Payments of Force pad and FATR on maturities
·         Entering JV of markup in ERP    
·         Entering prepayments of  Pay orders (Issuance & Cancilation)
·         Bank reconciliation Statement
·         Liaison with relationship managers of banks for day to day issues
·         Online payments confirmation to sales team 

Company Logo
Accounts Officer
Big Bird Group Of Companies
Nov 2014 - Present | Lahore, Pakistan

PROFESSIONAL EXPERIENCE:-
 BIG BIRD GROUP OF COMPANIES:  
 Working as “Accounts Associate” (Since November 2014)  
Accounts Receivable department:
Submitting (e-filling) Monthly Sales tax Returns of Big Bird Group
·         Liaison with vendors and customers for sale invoices & purchase invoices related  issues 
·         Creating withholding tax challan against  Payments Under head of payments of goods & services against rent on immovable property, and salary etc.
·         Submitting (e-filling)  of quarterly statement (withholding tax) under section-165  
·         Verification Regarding property tax challan issued by FBR
·         Verification of withholding tax entries deducted by customers and posting in ERP
·         Compiling Monthly sales report Customer wise and Product wise
·         Monthly sales report analysis, Quantity & Financial Value wise  
·         Reconciliation of customer’s ledger
·         Maintaining Credit limits of customers
·         Adjustments regarding rate variances
·         To verify credit and debit Notes      
·         Intimate to customers for overdue balances
·         Posting  daily shop sales of outlets in “candela” software
·         Verification of sale orders and sale invoices related to shops
·         Posting of shelf Rents on sale Regarding customers  
·         Verification of adjustments entries of monthly shelf rents to customers posting in ERP

Accounts Payable Department:
·         Dealing with Dubai Islamic bank for Wakala cum Istisna transaction, (Running Finance), to maintain record of Principal & markup payable at the time of maturity.
·         Dealing with Askari Islamic Bank for Istisna & Murabha (Running Finance), to maintain record of Principal & markup payable at the time of maturity.
·         Dealing with United Bank Limited for Invoice Discounting, (Running Finance), to maintain record of Principal & markup payable at the time of maturity.
·         Dealing with Pak China Investment Corporation LTD, (Running Finance), to maintain record of Principal & markup payable at the time of maturity.
·         To calculate markup and record in ERP of long term & short term loans company monthly basis sanction by banks.
·         Compelling payments quarterly regarding Non tax parties 
·         Proven experience on online payroll (HRIS)
·         To coordinate with HR department for data collection of salary of employees every month, entry and reporting with great attention to detail and confidentiality. 
·         Preparing salary and also Deduction of Tax on salary, advances and (EOBI).
·         Transfer salary latter to bank to disburse the funds.
·         Posting of vouchers of Social security & EOBI monthly basis.
·         Posting vouchers of salary payable every month.
·         To ready monthly report of salary comparison each station.
·         Vendors Ledger Reconciliation.
·         Bank Reconciliations.
·         Interact with banks for advices of transactions.  
·         Posting of vouchers paid in cash
·         Posting of purchase orders
·         Verify TA/DA of all Station
·         Verifying & Posting of cash vouchers
 
SUPERIOR COLLEGE:
 
Lecturer (From 2013 to 2014)

Class                           Subject
 
I.Com I & II                 Principal of Financial Accounting
B.Com & M.Com        F. Accounting, Advance Financial Accountingcash vouchers

Education

National University of Modern Language (NUML)
Masters, Masters in Business Administration, MBA‎
Accounting and Finance
CGPA 3.5/4
2011
University of the Punjab
Bachelors, Bachelors in Commerce, B.Com‎
Commerce
Grade B
2009
Board of Intermediate & Secondary Education Gujranwala
Intermediate/A-Level, Faculty of Arts, F.A‎
Humanity
Grade B
2006

Skills

Expert Peachtree/ other accounting tools
Expert Receivable & General Entries
Expert 3 years
Expert Account
Expert Accounting Applications Command
Expert Accounting Software Command
Expert Accounting+
Expert Accounts Administration
Expert Accounts Coordination
Expert Accounts Receivables
Intermediate Analytical Skills
Expert Book keeping process
Expert Bookkiping
Expert Buisness Stratgies
Intermediate Candela
Expert Conservation Awareness
Expert Coordination Abilities
Expert Credit Control
Intermediate Filing
Expert Financial Accounting
Expert Financial Audits
Expert General Ledger Maintenenace
Expert Good command on Accounting software
Expert grip on account software
Intermediate Grip on Accounts software as ERP/Quick Book.
Expert Handling Assignments
Intermediate HRIS PAY ROLL
Expert In-depth knowledge of accounting
Expert Invoice Processing
Expert Learnability
Expert Ledger Management
Intermediate Maintaining Sales Delivery Reports
Expert Mechanical System Up Gradation
Intermediate MICRO SOFT DYNAMIC AX 2012 R3
Expert MS Dynamics AX 2012
Expert Payroll Management
Intermediate Pivot Tables
Expert problem analysis and problem-solving skills
Expert Quality Metrics
Intermediate Reconciliation
Intermediate Record Keeping1
Intermediate reports and accounts maintenance
Intermediate RESTful APIs
Intermediate Taxations Knowledge
Intermediate Transaction Operations Handling
Expert Warranty Quality Assurance Process
Expert well aware of accounting software
Expert Xray Equipment Maintenance

Languages

Expert Urdu
Expert English