A highly skilled and motivated individual seeking for a reputable position
in a well-established organization which could enable me to flourish and
grow in the practical world and would endeavor hard to make it the best
in the industry simultaneously.
Work for bank reconciliation, bank positions, bank account maintenance of assigned funds.
Work for tax receipt (challan) preparation, submission, maintaining relevant records including electronic
submission to authorities.
Work for profit calculations of selected bank accounts and cash & near cash investments of assigned funds.
Work for payments of expenses including trustee/custodial fee, management fee, SECP Fee, auditor's, sales
load etc.
Assist in correspondence with asset management companies/Investment Advisor, brokers and banks for
daily operational activities.
Assist in review of financial statements of assigned funds.
Verify sale of units, redemption of units, conversion of units and transfer of units of assigned funds.
Work for portfolio reconciliations including book entry securities, physical securities/instrument and
securities held with sub-custodian.
Verify save settlements & brokerage of assigned funds.
Assist in compliance of day by day transaction and perform periodic compliance measures as required under
relevant laws.
Assist desk lead in day to day operations.
Act as a save mode user for the electronic systems offered by CDC, AMC, Banks, etc.
Perform any other task/assignment given by the immediate supervisors.
Issue Fee Voucher/Scholarship/Collection/Account Receivable Recovery;
Scholarship/Sibling Concession Matters;
Student Online/Manual Registration;
Course Offering/Scheduling of New Semester;
All Kind of Student Issues Resolution;
Training & Development of Employee on ERP System of Hamdard University;
Reconciled financial discrepancies by collecting and analyzing account information;
Secured financial information by completing data base backups;
Prepared assets, liabilities, and capital account entries by compiling and analyzing account information;
Prepared and reconciled monthly income schedules to identify income to be included in the monthly
management accounts;
Updated and analysed monthly expenditure schedules to identify accrual and prepayments to be included in
the monthly management accounts;
Compiled data for "Management Information System Report";
Produced error-free accounting reports and present their results;
Analysed financial information and summarise financial status;
Posted to "GL" and prepared journal vouchers for settlements of provisions, advance adjustments & etc.
Managed petty cash transactions;
Maintained accounting databases by entering data into the computer;
Reconciled bank statements by comparing statements with general ledger;
Efficiently managed required funds randomly demanded by management;
Processed payments and invoices;
Prepared, reconciled and recorded the payments; and
Prepared Payroll.