خلاصہ

 Assists Manager in making Financial Statements.

 Supervision of monthly Inventory Counts.

 Maintain overall Artistic group level payable Aging report.

 Reconciliation & Updating vendor’s prepayment ledger.

 Co-ordinate with contractors & vendors for billing & payment purposes.



 Providing With-holding Tax deduction Certificates to Vendors.

 Maintain proper records of Account payable & Bank payment vouchers.



 Working on Sales tax and Withholding tax on monthly basis.

 Checking bills recorded in ERP (Oracle).

 Preparing working on Sales tax and withholding tax on monthly basis.

تجربہ

کمپنی کا لوگو
Assistant Manager
The Citizens Foundation
اپریل ۲۰۱۸ - موجودہ | Karachi, Pakistan

Preparation of monthly bank reconciliation statements.
Managing timely transfer of fund and investments portfolio.
Timely recording of accruals, profits, exchange gain/loss on foreign currency.
preparation of monthly, quartly & yearly schedules of investments for auditors and reporting.
Timely resolving bank outstanding matters.
Liasion with bank on donations received and send confirmation to donors.
Identifies opportunities and solutions for process improvement.

کمپنی کا لوگو
SENIOR FINANCE EXECUTIVE
Artistic Milliners Pvt Ltd.
ستمبر ۲۰۱۲ - موجودہ | Karachi, Pakistan

 Assists Manager in making Financial Statements.
 Supervision of monthly Inventory Counts.
 Maintain overall Artistic group level payable Aging report.
 Reconciliation & Updating vendor’s prepayment ledger.
 Co-ordinate with contractors & vendors for billing & payment purposes.

 Providing With-holding Tax deduction Certificates to Vendors.
 Maintain proper records of Account payable & Bank payment vouchers.

 Working on Sales tax and Withholding tax on monthly basis.
 Checking bills recorded in ERP (Oracle).
 Preparing working on Sales tax and withholding tax on monthly basis.

کمپنی کا لوگو
ACCOUNTS OFFICER
EVER FOOD INDUSTRIES
جون ۲۰۰۷ - اگست ۲۰۱۲ | Karachi, Pakistan

 Preparation of Costing Sheets, Manufacturing Statement.
 Make payment relates to administration and suppliers.
 Cash sale reconciliation.
 Negotiation with vendors
 Reconcile vendor ledger
 Make Capitalization of Assets in system
 Opening vendor account into system
 Report to Senior Manager.

تعلیم

University of Karachi
بیچلرز, بیچلرز ان کامرس, ‎
Accounting
فی صد 58%
2008

پیشہ ورانہ مہارتیں

ماہر Accounts Administration

زبانیں

متوسط انگریزی