More Than 8 Years of Experience In Accounts In Leading FMCG Companies of Pakistan i.e. Gourmet Foods & Adam MilK Foods Limited
Currently I am working in the capacity of "Assistant Manager Accounts" in a leading Milk foods company with the name of Adams Milk Foods Limited.
Expert In Team Management.
Expert in Accounting Entries, day to day and month end reporting.
Expert in using Accounting Softwares as like G. Book, ERP,Â
Expert in working in microsoft office
Promoted As Assistant Manger Accounts
I am working in a leading milk food chain company Adam Milk Foods (Pvt) Ltd. as an âAccounts Executive âwhere my key responsibilities are:
vÃÂ Manual Cash Book Making & Reconcile with system.
vÃÂ Customers Payments Reporting to Management.
vÃÂ Preparing Salary.
vÃÂ Verification Cash Payment Vouchers.
vÃÂ Verification of Bank Payments and bank receipts Vouchers.
vÃÂ Maintain Chq Register in Excel.
vÃÂ Distributors Delivery Challans making.
vÃÂ Verification & Allocation of Discount policies to Customers.
vÃÂ Preparing Monthly Distributors Target Vs Achievement Report.
vÃÂ Preparing Monthly Sales Team target Vs Achievement Report.
vÃÂ Preparing Monthly Distributors Incentives.
vÃÂ Preparing Monthly Sales Team Incentives.
vÃÂ Verification of Debit & Credit Notes.
vÃÂ Preparing monthly banks reconciliation Statements.
vÃÂ To maintain record of Distributors Returnable Replace.
vÃÂ Physical Stock Count in Ware house month end.
vÃÂ Making Stock reconciliation month end.
vÃÂ To maintain record of empty baskets & Crates.
vÃÂ Journal adjustment vouchers of supply chain.
vÃÂ Marketing Activities Budget Monitoring.
vÃÂ Marketing Activities bills Verifications and Posting.
vÃÂ Marketing General Bills Verification and Payment.
vÃÂ To maintain Chillers inward & Outward Record.
vÃÂ Preparing Monthly Management, Sales Team and Supplies Vehicles fuel and maintenance expense report.
I worked in a leading food chain company Adam Milk Foods (Pvt) Ltd. as an “AccountsOfficer and Store In charge“where my key responsibilities are.
Reconciliation of Bank accounts with our ledgers & books
Reconciliation of Accounts Receivables with Customers.
Managing all Accounts Receivables.
Preparing Staff salary & salesman Commission on Sales.
Physical stock count and reconcile with Software on daily basis.
Posting Misc Expenses and cash payment vouchers in accounting software ERP.
Posting JV& Cash Receipt Vouchers in ERP.
Making purchase orders.
Receiving Cash from Salesman after closing the Sales Sheets in Software.
Maintain Market Credit Ledger in Excel on daily Basis.
Preparing Monthly Reports analysis of sales vehicle expenses.
Verification of vehicles & as well as office expenses.
PreparingExcel Stock Register on daily Basis and reconcile with software and as well as with Physical stock count.
Preparing Income Statement on Month End.
Report to management regarding the finances of establishment.
I worked in a leading food chain company Gourmet Foodsas an “Accounts Officer (Payable)” where my key responsibilities were.
Reconciliation of shope acknowledgement with POS ledger at the time of payment approximately 150 parties.
Resolve all matters of parties regarding payment.
Make arrangements (Cheques Making, Reconcile bills etc.) of Payments to General Store Creditors
Charges expenses to accounts and cost centers by analyzing invoice/expense reports; recording entriesin a Customized Software (E.R.P & P.O.S)
Preparing manual cheques.
Posting BPV of 150 parties.
monitor accounts to ensure payments are up to date.
maintain vendor files.
Posting CRV, CPV and journal vouchers.
Reconciliation of party ledger’s with gourmet ledger.
Preparing daily G. Store Purchase, profit and Bank Deposit summary.
Writing purchase ledger daily and bank ledger weekly.
Preparing Monthly Reports analysis of Shop’s Receipt and Expenses
Month end reconcilation of Profit and Purchase of Non Gourmet Items.
Reconciliation of Bank accounts with our ledgers & books
assist with month end closing
provide supporting documentation for audits
Protects organization's value by keeping information confidential.
Accomplishes accounting and organization mission by completing related results as needed.
To perform duties on any assignment allocated by company’s Management.