To secure a challenging position in a reputable organization to expand my learning, knowledge, and skills, Detail-oriented accountant seeks a similar position at reputable Company to further enhance my knowledge of tax and accounting software, computation, problem-solving, and analytical skills
Enter Description
Audit
Keeping track of all payments and expenditures, including purchase orders, invoices, statements, etc.
Reconciling processed work by verifying entries and comparing system reports to balances
Maintaining historical records
Paying employees by verifying expense reports and preparing pay checks
Paying vendors by scheduling pay checks and ensuring payment is received for outstanding credit; generally responding to all vendor enquiries regarding finance
Continuing to improve the payment process
Costing and Budgeting,
Entry of Job Order, and Bill of Material
Posting Bills Of Clearing Agents, Transportations and Insurance
Stock taking
Responsible for handling the cashier system; Handling the total payment receipt of branch and local/forieng currency, aslo ensuring as a global teller, that handles pay order, demand draft, clearing etc
KEY RESPONSIBITIES
____________________________________________________________________________________________________________________
• Handles the cashier system within the branch to take payment from customers make demand drafts, account transfers, etc.
• Reconciles all cash transaction at the end of the day.
• Ensure transaction and reporting of activity to accurate and complete
• Ensure adherence to all regulatory guidelines (E.g., proper identification documentation) when handling over cash
• Ensure Verification of all transaction and completeness of source documents, and related supporting documents joined with the Customer Service Supervisor Process all transaction related to cash and branch operations.
• Coordinates with internal and external auditors to monitor and balance all financial records
• Handles all customer request I for n timely manner; Looks for ways to improve efficiency and reduce turnaround time.
• Ensure meticulous compliance on prudential regulation especially from cash management prospective.
• Responsible for replenishment of cash and ATM as and when required.
• Cash Handling with main branch / SBP