To secure the job in the Finance sector in your organization which could help me learn new skills and deliver my potential of financial analysis and strategic implementation of the new approach towards the development of the company.
Open accounts and manage system
Bestway Cement (PVT) Limited Head office, Islamabad
(Six month internship in finance department)
(Managed Account Receivable)
(Basic Financial use of (A/R) Module @pex)
(Basic Financial Use of Sage)
(Rearranged the voucher of company)
(Managed sale journal)
(Rearranged and Faulted Financial Files
New Banks Accounts for customers in BVS software
Maintain all Manual Records
Entries in t24 software
Manage expense of bank
Enter Data in t-24 software income
Inventory management
Daily loan reports
Open accounts and maintain record
Daily cash report
Maintain cheque Clearing (outward & inward)
cash management
Daily Closing reports of cash
Day End Tally cash
Daily Receipts & Payments
Daily Activity Report
Cash management (Disbursement & Receipts)
Bank Reconciliation and resolve any bank related issues
Data Entry of Daily Report
BOOKKEEPING
PETTY CASH MANGE
Ambitious and self-motivated individual with professional experience, excellent knowledge of
Accounting & Finance and working knowledge of accounts and accompanied with a strong passion for
the finance industry can be put to use to enable accurate financial decision-making.
MBA Finance (Master Degree)
3 Years Professional Experience in (Accounting & finance)
KINZA REHMAT
MBA, (ACCOUNTING&FINANCE)
To Manage Accounts and excel related files and manage customer in calls.
posting – Book Keepings
To Reconcile Party (Supplier) Ledgers
To Post Advance Payments
To Create Vendor Liabilities
To Record Vendor Invoices
To process Vendor Payments
To Manage Accounts Payables – Timely Payments
To Manage Accounts Receivables – Timely Collection
To record customer invoices, collections, reconcileCustomer ledgers
To Prepare Bank Reconciliation Statement
Handling of Petty Cash of SB LAB related expenses, entries in
system and daily report to respective departments
Work on SIDAT HAIDER Software
Prepare Monthly and Annual Closing Reports as per requirements
Supervising, verifying Invoices (Bank Vouchers)
àStock Management               Â
ÃÂ Cash Management
ÃÂ Make Sale invoices
ÃÂ Cash Receipt voucher
àCash Payment Voucher
ÃÂ Inventory Updated
ÃÂ Ledger Managed
ÃÂ Manage provident fund record
ÃÂ Prepare voucher (Bank receipt, Bank payment)
àPrepare provident fund final settlement
ÃÂ Recheck all units files and find mistakes
ÃÂ Recheck cash payment voucher, cash receipts voucher
ÃÂ Use Sidat Haider, FISC Software
àEvery month Enter/Remove/Transfer PF of all units in payroll and excel
Managed Account Receivable)
➢ (Basic Financial use of (A/R) Module @pex)
➢ (Basic Financial Use of Sage)
➢ (Rearranged the voucher of company)
➢ (Rearranged and Faulted Financial Files)
➢ (Manage Tax)