Pertinent position in a leading, expanding and progressive organization where I could contribute my skills & capabilities for the accomplishment of its goals along with opportunity for learning, development and growth. Always keen to work on challenging assignment and able to perform under work pressure
• To check and Posting Invoices / Bill manually and ERP Software Daily basis
• To Prepare Aging Report of Supplier (Raw & Packing Material) on monthly basis and settle down the payment according their payments terms
• To Prepare Consolidated sheet of Supplier monthly basis.
• To prepare documents of DRAP (Import Material).
• To assist the CFO daily routines work as per requirement.
• To prepare the Documents/working of notices of FBR/Income Tax accordingly as per requirement.
• To prepare working of monthly Sales Tax Return filling (Input Tax, Output Tax & withholding) monthly basis.
• Bank Reconciliation.
• Posting Entries Invoices / Local Bills, & Import Bills daily basis on ER Manager Software.
• To check and record payroll of employees.
• To Prepare Bank Position on daily basis.
• To Maintain Vendors Liabilities (Aging Report) and settle down the payments according to the payment terms.
• To Check & Audit Petty of Cash Vouchers of all stations (Khi, Rwp, and Lhr.).Physically count the cash (Khi) and reconcile with ledger.
• To assist the manager on working of Sales Tax Return (Input Tax, Output Tax/W.H.T/STWH) monthly basis.
• Reconcile Input Tax Ledgers, STWH Ledgers, Income Tax / Others Ledgers monthly basis.
• To assist the manager for the preparing of Financial & Projected Cash Flows fortnightly.
• To prepare report of General Store Valuation and Assist the Audit Department for stock count yearly.
• To prepare the Documents/working of notices of FBR/Income Tax accordingly as per requirement.
• To maintain and update Fixed Assets Register
• Confirm the balances of customers from all banks daily basis on telephone.
• Filling of vouchers and vendor invoice /bill and keep record of all files. .
• Account Receivable and payable aging, analysis and balance confirmation from customers & vendors quarterly.
• Reconcile local purchase bills with purchase ledger and close the purchaser balances on monthly basis.
• Calculate the Storage Charges of Boxes in Depot.
• Give the Training of Portal Software to the agent via SKYPE & correspondence with Email & resolve queries regarding software.
• Monitor inventory levels and inventory movement computerized inventory system.
• Calculate Storage & Detention of Boxes.
• To Check SOA.
• Prepare Bill Of Lading & Switch B/L.