Summary

Job Description.
Preparation of Debit Voucher ERP GL.
Deduction Certificate send to the vendors.
Confirm direct credit receive in from customer.
Update Bank Register In GL.
Journal Vouchers on account of vendors taxes.
Filling of Utility Bills.
Making Pay orders, Demand Draft.
Reporting for Bank Deposit on Excel Sheet.
Record all Receivable in Excel.
Maintain customer ledger in ERP.
Record all Payment Detail Maintain customer ledger in ERP.
Maintain customer ledger in Excel.
Record all Payment Detail.
Generate Sale Tax invoice.
Bring Monthly Bank Statement.
Obtain Bank Balance Status from Banks.Preparation of Bank Deposit Slip.
Prepare (PSID) on (FBR) web portal.
User Training
Software Data Analyst.
Make Purchase Order (PO) in ERP Software.
Record Goods Received Note (GRN) in ERP Software.
Record sale in ERP software.
Prepare Daily Sales Report (DSR).
Generate Sale Tax invoice.
Record all Receivable in Excel.
Maintain customer ledger in ERP.
Maintain customer ledger in Excel.
Record all Payment Detail.
Maintain Stock in ERP software and Excel.
Make Delivery Chelan.
Make Delivery Order.
Taking Order from Customer and execute after confirmation of payment.
Update Trade Offer in ERP.
Good Speaking Power.
Good Communication Skills.
Fully Confident.

Projects

Financial Year file

Experience

Company Logo
Assistant Manager Finance
Gumcorp Pvt Ltd
Jul 2018 - Present | Karachi, Pakistan

I am responsible for the following tasks:

 Orders Processing of Distributor, IMTs & Institutions in MS Dynamics GP.
 Generate Sales tax Invoices in MS Dynamics GP.
 Samples Requisition Processing in MS Dynamics GP.
 Customers Payments tracking, recording & apply on relevant invoices in MS Dynamics GP.
 E-Tax Working & Filling on FBR Portal of Gumcorp & Foodcorp division.
 Managing distributor's inventory at National Level.
 Managing Supplies of Distributor & IMTs at National Level.
 Distributor & IMTs Claims working & recording in MS Dynamics GP.
 Secondary/Primary Sales Reports
 Correspondence with Distributors, IMTs in different queries.
 Managing Damage & Expiry stocks from Distributors
 Rewards & Incentive Management
 Sales Operations employees manage and evaluate data to determine the effectiveness of a product or campaign.
 Assist in creates contracts that satisfy both company and customer needs.
 Sales forecasting by recognizing past trends, Sales Operations allows employees to forecast future sales.
 Sales Operations must outline and define various sales territories.
 Support Finance Department in Monthly Closing.
 Daily processing, reconciliation and reporting of sales data.
 Daily preparation, reconciliation and reporting of collection data.
 Coordination with sales team on daily basis regarding sales and collection issues.
 Prepares institution's debtors and creditors aging.
 Verification of sales team expenses.
 Reconciliation of distributors ledger
 Liaison with distributors.

Company Logo
Accounts Executive
Monarda Commodities Limited
Aug 2017 - Jul 2018 | Karachi, Pakistan

I am responsible for the following tasks.

 Contact to the foreign Subsidiaries to support all aspects of Financial and Accounting functions and Internal Control.
 Maintaining Books of Accounts and ledger of foreign subsidiaries to the Finalization level. .
 Maintaining Internal Control and ensure that procedures and policies are followed.
 Perform month end Inventory valuation.
 To Reconcile Stock on daily basis.
 P & L Review Report.
 Make Account Receivable & Payable Aging Report.
 Collect raw data from software and generate reports.
 Direct Reporting to the Directors and Country Managers.
 Mailing correspondence with shipping lines.

Company Logo
Assitant Accountant
Apperal Manufacturer Pvt Ltd
Aug 2016 - Aug 2017 | Karachi, Pakistan

Petty Cash Accountability.
Petty Cash Related Entry in ERP GL.
Preparation of Debit Voucher ERP GL.
Update Bank Register In GL
Journal Vouchers on account of vendors taxes.
Filling of Utility Bills.
Making Pay orders, Demand Draft.
Reporting for Bank Deposit on Excel Sheet.
Maintain customer ledger in Excel.
Record all Payment Detail.
Generate Sale Tax invoice.
Bring Monthly Bank Statement.
Generate Sale Tax invoice.
Record all Receivable in Excel.
Maintain customer ledger in ERP.
Maintain customer ledger in Excel.

Company Logo
Assistant Accountant
Bliss Distributors
Feb 2013 - Aug 2016 | Karachi, Pakistan

Education

University of Karachi
Bachelors, Bachelors in Commerce, B.Com‎
Accounting, Business Management
Grade C+
2017
memon institute
Certification, Computerized Accounting‎
Accounting, Enterprise Resource Planning
Completed
2015
Degree College Science & Commerce for boys Korangi # 6
Intermediate/A-Level, Intermediate in Commerce, Intermediate‎
Accounting
Percentage 49%
2012
the national grammer school
Matriculation/O-Level, Matric in Science, Matric‎
Computer Science
Percentage 74%
2010

Skills

Intermediate Accounts Payable
Beginner Beverage Formulation
Intermediate Conservation Awareness
Intermediate Data Analytics
Intermediate Distributors
Intermediate Finance & Financial Service
Intermediate good speaking power
Expert Handling Assignments
Intermediate Handling Union Matters
Intermediate Inventory Distribution
Expert Invoice
Intermediate Invoice Discounting
Expert Japanese and Korean Language Proficiency
Intermediate Knowledge of FMCG
Intermediate Oracle General Ledger
Intermediate Payroll Processing
Expert Quality Metrics
Intermediate Reconciliation
Intermediate Relations Management Skills
Expert Retail Products Knowldge
Expert Social Studies Subject Command
Intermediate Stock Ledger Maintenance
Expert Warranty Quality Assurance Process
Intermediate استراتيجيات مبيعات الحسابات

Languages

Intermediate English