Seeking a challenging opportunity to demonstrate my skills and abilities and attain experience and knowledge in an organization working on a global scale offering scope for career growth and professional development. I have previous experience in
corporate accounting and small business accounting.
• Prepare daily fund position (Bank Position)
• Reconciliation of all bank accounts
• To record payments of daily expenditure
• Monitoring daily cash flow position and prepare monthly report on cash flow position
• Handle accounts payable, bill follow ups, bill processing, payments made as per aging
• Petty Cash Handling
• Monthly File Sale Tax Return
• Monthly File Income Tax Return
• Maintaining Recovering Department
• Inventory/Warehouse Management
Accountant
• Book Keeping
• Preparing Final Accounts
• Monthly Bank reconciliation
• Petty cash
• Filing Tax Return (FBR)
• Computation of Tax Liability
• Monitoring daily in/out Flows
• Incorporation of companies (under SECP requirement)
• Maintain Salary Budget