Account Assistant
Pakistan International Packages (Pvt) Ltd.
Total years of experience :27 years, 0 months
Computerized Accounting Software
Manually Accounting.
Banking Work
Cash Responsibility
Import & Export Documentation with the Bank.
Cash & Bank Payment Data Feeding in Computer Accounts Program.
Purchases Record & Data Feeding in Computer Accounts Program.
Sales Invoices Feeding in Computer Accounts Program.
Deal with the Parties about claims & others.
Cash Responsibility.
Preparing Daily Stock Report.
Preparing Daily Consumption Report
o Packaging Material
o Production
o Daily Plant Activity Report
Dealing with Plant Expense Vouchers.
Cash & Bank Payment Data Feeding in Computer Accounts Program.
Making Cash & Bank Payment Voucher
Making Journal Voucher & Feeding in Computer Accounts Program.
Reconciliation through Bank Statement.
Feeding Raw Material detail in Inventory Program.
Deal with Party Tax Deduction.
Preparing Daily Stock Report.
Preparing Daily Consumption Report
o Packaging Material
o Production
o Daily Plant Activity Report
Maintaining & Distributing Daily Plant Documents to their Concern Staff.
Finalizing the Head Office, Plant, Islamabad & Lahore Salary.
Dealing with Plant Expense Vouchers.
Preparing the LC Detail of Tetra Pak.
Deposit of Excise Amount (Weekly) and Submission of Excise Documents (Monthly).
Cash & Bank Payment Data Feeding in Computer Accounts Program.
Making Cash & Bank Payment Voucher
Reconciliation through Bank Statement.
Deal with Party Tax Deduction.
1. Drafting & Documentation with Import Parties.
2. Software & Hardware Installation.