To build-up career in a company that will allow me to grow professionally and where challenges can be diversify and expend my knowledge. Wish to engage in a reliable position of a professional company. Develop career with highest potential and with dedication gain a superior position.
Responsible for maintain books of accounts.
Responsible for Accounts till Finalization of Trial Balance.
All types of Reconciliations, i.e. Bank, Quantitative etc.
Prepare all kind of vouchers i.e. Bank Payment, Bank Receipt, Cash Payment, Cash Receipt & Journal Voucher; General Ledger, Cash Book and related documents.
Prepare report on daily basis showing position of Banks, Debtors and Creditors for Management.
Computation and deduction of Income tax from Staff Salaries, Service Providers and Suppliers, and Deposit into Government Treasury.
Monthly Sales Tax & Income Tax Return File to FBR.
Maintaining EOBI & SESSI records.
Prepare Bank Re-conciliation statements on monthly basis.