Total des années d'expérience: 14 Années, 10 Mois
janvier 2010
A novembre 2012
Accounts/Finance Manager
à M/S Home Styles (Pvt.) Ltd., Faisalabad.
Lieu :
Pakistan - Faisalabad
• Checking and supervision of all types of transactions and vouchers.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
• Preparation of exports post costing statements (Job wise profit / loss).
• E-filing of income tax returns.
• E-filing of monthly W.H.Tax deduction statements.
• E-filing of monthly sales tax returns.
• Follow up and reply of FBR notices.
• Follow up of rebate and duty draw back cases.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
• Preparation of exports post costing statements (Job wise profit / loss).
• E-filing of income tax returns.
• E-filing of monthly W.H.Tax deduction statements.
• E-filing of monthly sales tax returns.
• Follow up and reply of FBR notices.
• Follow up of rebate and duty draw back cases.
août 2008
A décembre 2009
Accounts/Finance Manager
à M/S Power Chemical Industries (Pvt.) Ltd.
Lieu :
Pakistan - Faisalabad
• Checking and supervision of all types of transactions and vouchers.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
• Preparation of exports post costing statements (Job wise profit / loss).
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
• Preparation of exports post costing statements (Job wise profit / loss).
septembre 2004
A juillet 2008
Manager Accounts
à M/S Shahzad Siddique (Pvt.) Ltd.
Lieu :
Pakistan - Faisalabad
• Checking and supervision of all types of daily transactions and vouchers.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Preparation of imports post costing statements (Job wise profit / loss).
février 1999
A août 2004
Senior Accounts Officer
à M/S Niagara Mills (Pvt.) Ltd.
Lieu :
Pakistan - Faisalabad
• Posting of all types of vouchers in accounting software developed in oracle.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
• Monitoring and reconciliation of Accounts Receivables and Accounts Payable Ledgers.
• Monitoring and reconciliation of all bank account ledgers.
• To maintain loan register for management in MS-Excel obtained from state bank of Pakistan.
• To maintain export proceeds receivable reports invoice wise and party wise for management in MS-Excel.
• Preparation of financial statements on monthly and yearly basis in MS-Excel for management.
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