To contribute towards the growth and development of a dynamic organization having opportunities for both personal and professional growth, where I can add value to the work environment together with achieving goals and targets both for self-contentment and for the organization.
To pursue a challenging position in a reputable and futuristic organization and prove my skills and competencies by contributing to the organizational success.
i) Custom clearance i.e., liaison with clearing Agent, process payments, verification/calculation of duties and taxes, dealings with bank, liaison with supplier & concern department, maintain proper sheet of consignments, inform supervisor about shipments status, track shipment and documents.
ii) Filing of monthly and annual Sales Tax Returns (FBR & KPRA).
iii) Annually, Quarterly & Monthly filing of Withholding Statement of FBR & KPRA.
iv) Tax working on payment made to suppliers and responsible for timely deposit in Government exchequer.
v) Maintain Sales Tax Record i.e., Gate Passes, Stock statement & Stock Register.
vi) Issuance of Sales Tax Invoices and liaison with sales personnel on any issues raised from customer’s side.
vii) Support Tax Manager in replies to tax departments, Tax Audit notices and visits to various government departments on behalf of company.
viii) Banks and daily Cash Reconciliation.
ix) Suppliers and customers ledger reconciliations.
X) Process of daily company bills, supplier’s payment, contractor bills.
xi) Manage Directors personal Matters. I.e. Expenses, payment, receipts, reconciliations,
xii) visits to banks & departments, income tax returns.
xiii) Any other task assigned by Supervisor and Management.
To aware people from Islamic Sharia Complain and Islamic Mode of Finance trough Jubilee Family Taka Ful.
there fore conduct different Cession with different type of people like Teacher Lawyer Professor Labour etc
Precuremen
Contractor Bills
Logestic Bills
Cash Reconciliation
Project working Bill
Monthly Stock Taking
General freight Payment Reconciliation
Banks and daily Cash Reconciliation
Suppliers and customers ledger reconciliations.
Process of daily company bills, supplier’s payment, contractor bills.
Bank Visits and Dealing..
Contractor bill
Transport Arrangment.
Transport bargianing
Distribution on time
Task Achiver