I, Junaid ur Rehman - MBA Finance graduate and a dynamic Professional with over 6 years hands on experience in the field of Finance, Accounting and procurement while working in challenging environments and in diverse industries with little to none supervision that enabled me to build effective relationships, enhanced my skills and abilities to ensure career progression, whilst serving the organizations successfully.
I possess advance level computer literacy skills related to Accounting including QuickBooks, Advance MS Excel, Peachtree, Tally and having Quick learning skills to adjust myself to any new system of Accounting & Finance. I also possess intermediate level value added skills in Graphic Designing which in many jobs proved to be my competitive advantage in Organizations that i previously worked for and looking forward to work for in the future.
Al Waqt Al Haqiqi is an E-Commerce bussiness.
Working with TAJ Events & Hospitality as a Finance & procurement Officer helped me in excelling my skills in analysing Events based reporting & generating Financial Statments. i started by creating a New Company file in MS Excel with beginning balances and using my Advance MS Excel skills to generate an Automated Trial balance connecting all the financial statements.
My responsibilities included but not limited to
Making Events based P&L and monthly Financial Statements, maintaining Ledgers of AP & AR, Procurement, Cash & Loans handling, Daily & Monthly reconciliations etc.
My Responsibilities included but not limited to
Creating New company file and Maintaining Accounts in Quick-books.
Inventoty management.
Maintaining Ledgers, Bills & Invoices.
Maintaining Payables & Receivables.
Payroll management.
Preparing & analyzing of Ledgers & Final Accounts.
Keeping track of Expenditures & Profit & Loss.
Monthly Bank reconciliations.
Worked as Audit trainee, gained experience in Audit, making of financial Statements, Timely reconciles cash application and disbursements, Budgetary Controls and Profit forecasting, Monitors cash transactions to ensure that bank account balances to the report and any unusual items are investigated, Financial reports and final accounts, General ledgers, Sales Tax and income Tax Returns etc.