To be a part of result oriented professional team that proves a challenging innovative work environment and
opportunities for career and professional development.
Responsible for checking ledger posting of all type of cash payments, bank
payments, receipts, journal and purchase voucher on daily basis;
Responsible for reconciliation of bank statement and business client’s ledgers on
daily and monthly basis;
Responsible for coordination with payroll department regarding all matters of
finalization of salary, advances, deduction, Commission and adjustments;
Oversees the daily accounting activities requird to maintain the company’s generel
ledger;
Supervises, directs and review the work of accounting staff;
Cash management, Financial Ratio Analysis
Statement of Comprehensive Income Analysis, Statement of Comprehensive Income
Analysis and Statement of Cash Flow Analysis;
Maintains organized set of detailed records and files to document Financial
Transaction;
Resolve complex accounting issues or assists other personnels in resolving financial
issues;
Review general ledger on a monthly basis to ensure accuracy of posting;
Produce Financial Reports on Monthly, Quarterly and annual basis;
Assists for monthly, quarterly and annual closing activities;
Makes and implements recommendations to improve accounting processes and
procedures;
as asst accountant, use the texware financial accounting i.t software & full and final settlement, posting veouchhar (mill dailly exp, bank payment & received & store payments veouchtar, same days worked as a cashier in ATM TEXTILE MILL