OBJECTIVE
I am keen to embark on a career where I can serve in the challenging and dynamic environment towards a successful career by making the best out of my professional abilities and interpersonal skills. Qualified for a challenging and decision making assignments.
EXPERIENCE
Being a young, trying to hard and to the best of my knowledge to accelerate the goal in all environment information technology.
Ali Medical Centre Pvt Ltd (Current Job)
Accounts Officer
Duties as Accounts Officer Payable
Posting of Accrual in ledger
Checking of invoices as per approval matrix and purchase and payable policy
Processing of Vendors payments after re-verification of invoices
Withholding of all applicable taxes
Prepare summary of all Withholding taxes
Reconciliation of Tax ledgers
Tax payments of GST and Withholding Tax
Vendor Ledgers Reconciliation
Handling Advances and Accruals
Due diligence and on boarding of new vendors as per the agreed procedure
Inventory Counting/ Stock Take from General store
Asset Management & Deprecation Accounting
Solving of vendors queries
Solving internal & external departments queries
Dashboard (Payable Data)
Booking of bank payments
Tax payments of GST and Withholding Tax
Responsible for internal & external audit related to my work
Posting of Cash payment Voucher
Maintain Files of all accounting record related to my job tasks
Reconciliations of Banks
Reconciliation of Jazz Cash and Easy Paisa
Profile Contractor & Printing (June 2016 to June 2017)
Accounts Officer
Duties
Cash handling on daily basis
Resolution of invoice queries including credits
Preparations of general & ledger
Trial Balance
Tax detail of GST and payment of tax to FBR
Purchases for printing section and clients
Invoices to clients
Recovery from clients
Salary payments to company staff
Major clients of company
Mobilink
Ufone
Zong
Sheikh Zahid Institute
Fatima Jinnah Women University
OREL Security Services & Management Pvt Ltd
Account Officer
Duties
Reconciling Cashbook.
Cash handling on daily basis
Bank Reconciliation Statement
Salary entry and reconciliation
Dedication of sale tax and withholding tax
General ledger
Including accruals and pre-payments Making Invoices, receiving payment and recovery
Reconciling customers’ accounts
Assisting internal/external auditors with queries
Chasing outstanding customer accounts
Resolution of invoice queries including credits
Assisting with sales / purchase ledger, cashbook and payroll
Communicating clearly and effectively with the accounts team
Monthly / quarterly management accounts preparation.
Assisting in the preparation of year end accounts for clients
Recruitment and deployment of staff
Recruitment of staff, jobs description, appraisal of staff
Monthly performance report of staff
Khushali bank Limited (Sep, 2014 To May, 2015)
I am having experience as a Customer Service Officer in Khushali bank Limited
Duties
Opening and closing of Customer accounts
Maintaining Customer accounts (profile and status Change etc)
Making Debit and Credit transactions in customer accounts
Making record of day-to-day financial activities
Working as part of a team that is responsible for making sure that the flow of
Costs and revenues between the projects, regions and people is accurately accounted for and managed
National Biosafety Centre Pak-EPA
I had been employed in National Biosafety Centre Pak-EPA Climate Change Division Govt. of Pakistan as Admin and Finance assistant and Cashier from 21 May 2013 to June 30, 2014.
Duties
Assisting the Accounts
Reconciling petty cash
Balance sheet reconciliations
Salary entry and reconciliation
General ledger entry including accruals and prepayments
Dealing with statutory returns
Assisting internal/external auditors with queries
Chasing outstanding customer accounts
Resolution of invoice queries including credits
IT Skills
Ms. Word & Ms. Excel
Microsoft FoxPro Accounting Software (Orel Security)
Peach Tree Software (Profile Contractors)
Medix Accounting Software (Ali Medical)
Oracle Supplier Section (Mobilink/Jazz)
Bank essential Software (Khushali Bank)
Now working on New Software(HIMS)
Budgeting
Presentations of Monthly and Quarterly Financials to Board of Directors
Payments of TA/DA in USD and pPak rupees
Payments to vendors in USD and Pak Rupees
Invoices to Clients
Booking of Revenue in USD and pak rupees
Agging of Receivables and Payable
Depreciation Accounting
Reviews of monthly Profit and Loss accounts
Responsible for audit and audited Accounts
I am currently working in Ali Medical as payable officer.
In my current position I am managing payments to more then 250 vendors.
I am making payments deduct tax as per and reconcile withholding tax and payment of taxes.
Dealing and solving vendora queries.
Reconciliation of vendors, and 10 banks and jazz cash and easy paisa reconciliation.
I am responsible for external audit.Â
I am also responsible for presenting monthly dashboard to my management.Â
I was responsible for all accounts and finance related work of company. Making payments and billing to customers and receiving payments for customers. Data entry. Reconciliation of banks.