工作经历

公司标识
Finance Executive
Childlife Foundation
Feb 2019 - 代表 | Karachi, Pakistan

Functions
·         Prepare monthly and general payments of vendors.
·         Petty Cash replenishment to all sites.
·         Timely intimation to vendors after payments by using mail merge.
·         To maintain Petty cash and 3rd party agreement record.
·         Assist to Prepare Financial Statement.
·        Create PSID & E-filling of Withholding Tax to FBR (u/s 149 & 165), SRB &
         BST Sales Tax return.
·         Bank Reconciliation
·         Assist to prepare Fixed Asset Register

公司标识
Accountant
Noble Shipping Services (Pvt) Ltd
Feb 2013 - Feb 2019 | Karachi, Pakistan

•Prepare vendors cheque.
•Posting receipts, payments and JV in G/L by using Peach Tree software
•Developing good working relationships with professionals such as bankers and auditors for the benefit of the firm
•To maintain Petty cash records, Accounts Payable, Accounts Receivable
•To assist in preparing Income Statement, preparing Statement of changes in equity, preparing Balance Sheet
•E-filling of Income Tax, Withholding Tax & Sales Tax Returns
•Also doing administrative work
•Bank Reconciliation

公司标识
Assistant Accountant
Al-Hadi Industries (Pvt) Ltd.
Mar 2010 - Jul 2012 | Karachi, Pakistan

•Posting receipts, payments and JV in G/L
•Prepare debtor ageing report
•Making parties’ bill and G.S.T Invoices
•Prepare bank reconciliation on monthly basis
•Update outstanding summary

学历

Indus University Karachi
硕士, 工商管理硕士学位, MBA in finance‎
Financial Accounting, Financial management
CGPA 3.5/4
2019
University of Karachi
学士, 贸易学士, ‎
Accounting
等级 C
2008

技能

中级 Japanese and Korean Language Proficiency

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