I am a professional individual and have working experience in manufacturing, services and Commodity Import sectors demonstrate abroad job experience as well..
Funds Management,
Filling of Monthly GST Returns in FBR,
Filling Qtrly IRIS Statement U/S 165 of Income Tax,
Preparation of entire Documents for Exemption,
Certificate, Daily Operations,
Treasury matters,
Day to Day Bank Dealings,
Daily Operations,
Out Standing Monitoring,
Bank Reconciliation,
Entire Bank Dealing,
Opening Letter of Credit for Import,
Costing of Raw Material Imported,
Responsible for making correspondence with Vendors and Clients,
partially involvement in Financial Reporting,
Preparation of documents for export in the domestic letter of Credit
, Coordination with sales and operation department,
Receipt Payment Vouchers
Fortnight Payable summary preparations of Airlines
Bank Reconciliation
Cash Handling
Airline Refund Record
Funds Management
Daily Operations
Preparing GST invoices,
Cash Handling
Bank Reconciliation
Bank LC/Contract opening,
Costing Of Imported Commodity,
Withholding GST,
Withholding Income Tax,
Account Payable Cycle,
Account Receivable Cycle,
Preparing Raw Material Stock Report