A high calibre productive driven individual with over 5years of experience in Accounting Finance.n Outstanding organizational and time management skills leading to high level of productive.n Adaptable in dynamic organizational environments and capable to work in a team as well as in individual capacity. Ensuring productive results for the organization.
Supervision of Sales Tax Audit U/S 25, U/S 38 e.t.c
Supervision of Income Tax Audit U/S 161, U/S 205.
Supervision of Sales Tax & Income Tax Refunds.
Supervision of all Exemption Certificates (U/S 148, 153, 235, 231)
Preparation of All Desk Audit
Preparation and Process of Post Refund Audit
Communication and process of Revise Returns.
Communication with RTO for Tax Related matters.
Process of DTRE Approval (Appendix I)
Amendment in DTRE Approval (Appendix II)
Supervision of DTRE Audit (Appendix III)
Extension in DTRE Approval.
Communication with Custom Collectorate for custom related matters.
Refund claim Preparation System (RCPS) Data entry and RTO file preparation.
1 Making of Costing sheet for imported items
2 Making detail of stock received from MAXXIS to Pakistan & then its distribution in all branches & Customers
3 Arrangement of stock for sales team if deficiency.
4 Bank Reconciliation
5 Dealing with Financial Institutions
6 Monthly financial statements
7 Follow up of Customers & Supplier balances.
8 Daily consolidated stock report for top management & sales.
9 Making sheet of Tax deduction in utilities for Tax purpose
10 Miscellaneous procurement for office.
11 Credit management & debtor aging summery
12 Handling Logistic Activities
13 Vouching, Book keeping & Making of Financial Statements
14 Daily Inventory Report in Excel Sheets for Top Management
15 General office correspondence and administration
16 Managing and Entrusting team work
Financial
Ensure all financial transactions are carried out and recorded in accordance with standard financial procedures in the accounting software.
Certify all disbursement, receipt and journal vouchers
Ensure all supporting documents are attached with the vouchers
Review and negotiate agreement and budgets with implementing partners for TTO projects
Quarterly verification of financial statements and progress reports of TTO funded projects and timely reporting to Headquarters
Checking & finalization of monthly financial statement of the different departments
Monitor actual expenditures of the departments versus budget
Making variance report of expenses vs budget for high officials.
Preparation of monthly fund reconciliation statement with Head Office
Verifying Bank reconciliation statement.
Payroll including Tax working
Preparation & submitting Tax challans of office employees.
Tax calculation on supplies, its deduction & deposit in NBP on time
Facilitation to Internal & External auditors
Training of Finance/Administration staff of implementing partners
Administrative & HR
Allocation of vehicles to field staff (particularly making sure that project staff are dropped off and collected in the efficient manner).
Arrange of vehicles other than official (if required)
Ensure proper maintenance of log books of vehicles, Multimedia, Photocopier, etc.
Checking of monthly fuel consumption report
Ensure validity of agreements i.e. premises, vehicle rent, etc Ensure proper maintenance of automobiles and equipment
Procurement for department office as per TTO procedures.
Arrangements for seminars & other functions of TTO at department level.
Supervise & maintenance of inventory record
To ensure the availability of assets in working condition.
Ensure proper attendance of staff
Proper record of leave balances of each employee in the departments
Maintain the personal file of each employee at Departments Level
To handle support staff i.e (Drivers, Office Boys & Guards)
To make final settlement of employees
Ensure recovery of personal telephone calls and usage of vehicles
Ensure implementation of proper security procedures at department level.
Ensure all financial transactions are carried out and recorded in accordance with standard financial procedures in the accounting software.
Certify all disbursement, receipt and journal vouchers
Ensure all supporting documents are attached with the vouchers
Management of Daily cash flow, inventory & sales Reports
Management of cash & bank receipts and payments
Making of Financial Statements (Quarterly)
Monthly Stock Taking
Making variance report of expenses vs budget for high officials
Coordination with Sales Persons regarding recovery
Ensuring proper coordination and feedback to the management regarding all matters and presenting timely reports in this regards.
Ensuring timely implementation of company policies and procedures and proper feedback regarding the same
Prepare timely and accurate daily, weekly & monthly reports regarding overall financial activities
Preparation of Vouchers for Clients
Maintaining of Cash Book & Ledger
Stock Register for Clients
Input & Output Register for Sales Tax purpose for client
Making sheet of Tax deduction in utilities for Tax purpose