概要

Results-orientated accounting professional with over Six years of experience. Performs a variety of professional level accounting duties involved in preparing, maintaining, analyzing, verifying, and reconciling financial transactions, statements, records and reports. An experienced team player committed to improving overall business processes and building a cohesive business environment.

项目

ISSUANCE OF MUSAWWAMAH CARD BY ISLAMIC BANKS IN PAKISTAN

工作经历

公司标识
Assistant Accountant
Muller & Phipps Pakistan (Pvt) Limited
Oct 2016 - 代表 | Karachi, Pakistan

• Managing and Monitoring of Day to Day Sale Transactions.
• Receivable collections and Posting.
• Reconciliation of Recoverable and Billed Account.
• Preparation of Last Day Status Including (Sales, Receivables, Claims etc.).
• Preparation of Monthly Sales Reconciliation.
• Preparation of Monthly Bank Reconciliation.
• Responsible for All Principal (Unilever) Claims Monitoring and Submissions.
• Monitoring and Managing secondary scheme allocation.
• Follow-ups for Outstanding Claims and its Reconciliation.
• Monthly Stock Audit.
• Preparation of Monthly Depot Outstanding Report.
• Withholding Tax Monitoring and Submissions.
• Other Assignments given By Manager.

公司标识
Customer Service Officer
BankIslami Pakistan Limited
May 2015 - Jul 2016 | Karachi, Pakistan

• Deal in all cash transactions (payments and receipts).
• Cash balancing as per SBP guideline.
• Maintain cash sheet as per SBP instructions.
• Utility bills receiving and posting in system.
• Processing of all ATM functions as per SBP guidelines.
• Handling fund transfer local and online customers.
• Issuance and cancellation of pay orders.
• Balancing of outstanding pay orders on weekly basis.
• Processing outward clearing (normal, same day, OBC and FOBC.

公司标识
Cashier
Capital Exchange
Jul 2013 - Dec 2014 | Karachi, Pakistan

• Dealing with customers.
• Dealing in all currencies transactions (Payment and Receipts).
• Maintain local and foreign currencies.
• Currencies balancing as per SBP guideline.
• Maintain daily currencies vouchers.
• Posting expenses.
• Responsible for daily closing of currencies accounts.

公司标识
Assistant Accountant
Trade Resources
Jan 2011 - Jun 2013 | Karachi, Pakistan

• Posting daily transactions into relevant accounts.
• Dealing in cash payments and receipts.
• Maintain and reconcile cash and bank book.
• Maintain purchase reports and payments.
• Stock valuation.
• Update stock report on daily basis.
• Posting expenses in relevant accounts.
• Maintain all accounts.

学历

Mohammad Ali Jinnah University
硕士, 工商管理硕士学位, MBA IN FINANCE‎
Accounting & Finance, Islamic Banking, corporate finance
CGPA 3.5/4
2018
University of Karachi
学士, 贸易学士, Bachelors in Commerce‎
Financial Accounting, Cost Accounting, Economics
等级 B
2011

技能

熟练 Bank Reconciliation on
中级 Beverage Formulation
中级 Cash Flow Management
中级 Clain Management
中级 Corporate Finance
中级 Counter Billing
中级 Credit Collection Recovery
熟练 Excellent speaking skills in the target language
熟练 Financial Accounting
熟练 Handling Assignments
中级 Prepaid Ledger
中级 Reconciliation
中级 Stock Audit

语言

中级 英语
熟练 乌尔都语