Summary

An experienced professional having experience of more than 6 years of experience in the field of accounting, audit and finance. This experience helps to develop capabilities of understanding the business processes, maintenance of the records and preparation of financial statements.

Experience

Company Logo
ACCOUNTANT
Zubair feeds pvt ltd
Sep 2020 - Present | Rawalpindi, Pakistan


•     Verification of income & expenses. •     Maintain All expenses of sale office and chick\'s deliverey.•     Verification of bank payments and bank receipts, Cash payments and cash receipts.•      Reconcile party ledger.•      Prepare consumption reports.

Maintain record of sales.
Maintain record of feed purchase.
Forwarding record to audit and answering for the queries. 

Company Logo
INTERNAL AUDITOR
ZUBAIR FEEDS PVT LTD
Apr 2019 - Aug 2020 | Rawalpindi, Pakistan

•      Pre-audit of payroll of head office and all the site offices.
•      Stock count activities of finish goods and raw material.
•      Pre-audit of employee final settlements.
•      Pre-audit of vehicles monthly expenses of head office and sites vehicles.
•      Weekly cash count activities & preparation of monthly cash reconciliation statements.
•      Verification of with-holding tax and tax on salaries.
•      Completing audit work papers by documenting audit test and findings.
•      Assisting internal audit manager in over all functions of the departments.
•      Identification of risk areas of business and designing controls to minimize the risk.
•      Plan and manage the audit activity, including documentation of the audit work and management
•      Ensure compliance with established internal control procedures by examining records, reports, operating practices and documentation.
•      Preparing audit reports for the management, documenting the work performed and providing recommendations to address the issues, if any.
•      Communication and audit inquires with all working sites and mills.

Company Logo
Cashier
Diamond Poultry Pvt Ltd
Feb 2017 - Feb 2019 | Rawalpindi, Pakistan

1. Received payment by cash and check vouchers or automatic debits. 2. Issue receipts, refunds, credits or change due to customers. 3. Count money in cash drawers at the beginning of shifts to ensure that amount are correct and that there is adequate change. 4. Resolve customer\'s  complaints.5.Answer customer\'s question and provide information on procedure or policies. 6. Calculate total payments received during a time period, and reconcile this with total sales.7. Compute and record totals of transaction.

Education

Abdul Wali Khan University Mardan
Bachelors, Bachelors in Commerce, B. Com‎
Commerce
Grade C
2014

Skills

Expert Account Payments Handling
Expert Account Receivable Handling
Intermediate Accounting
Expert Accounts Payable
Expert Audit Assignment Handling
Intermediate Audit Management
Intermediate Audit Reports Management
Intermediate Bank Reconciliation     
Expert Bank Reconciliation on
Expert Cash Calculation
Expert Cash Flow Management
Expert Communication Sklls
Intermediate Cooordination Skills
Expert Coordination Skilla
Intermediate Coordination Skillss
Intermediate Data Analytical Techniques
Expert Data Entry
Expert Data Management
Intermediate ERP Poloxy
Expert ERP Sidat Haider
Expert Expense Management
Expert Funds Management
Expert Hafiz-e-Quran/Qari
Intermediate Internal Audit Command
Expert Inventory Control
Intermediate Management Of Cash Inflow And Outflow
Expert Managing Payable
Intermediate Microsoft Excel
Expert MS Office (Word & Excel)
Expert Payroll Processing
Intermediate Peachtree Accounting Software
Intermediate Quick Books
Expert Receivable
Intermediate Record Keeping
Intermediate Sales Management
Expert Stock Management
Expert Team Management
Expert Time Management
Intermediate Typing Speed
Expert Warehouse Management
Expert Writing and speaking skills
Intermediate المبيعات الاستراتيجية

Languages

Expert Pashto
Intermediate Urdu
Intermediate English