Asim Rafiq, Branch Accountant

Asim Rafiq

Branch Accountant

Bindawood Superstores

Lieu
Pakistan - Lahore
Éducation
Master, management and financial accounting
Expérience
13 years, 6 Mois

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Expériences professionnelles

Total des années d'expérience :13 years, 6 Mois

Branch Accountant à Bindawood Superstores
  • Arabie Saoudite - Jeddah
  • Je travaille ici depuis novembre 2013

My job responsibilities include:

 Preparation, review and analysis of Inter company transfers according to the requirements of the Branch
 Responsible for updating system ( JDA) regarding all goods that received in the branch from various suppliers on daily basis.
 Checking invoices amount and quantity according to purchase orders provided to suppliers from purchase department.
 Processing the invoices daily batches in the system for payment.
 Coordinate with accounts parables and inventory department in case of descripency in cost quantity and negativity of any SKU.
 Conducting monthly and yearly inventory of the branch with inventory control department.
 Preparing and keeping record of daily production report related to bakery section.
 Keep record of items that are damaged or used by Branch staff for various purposes.
 Make sales and stock analysis of SKU’s and prepare orders for various suppliers with co ordination of store supervisor and purchase department.

Accounts Officer à Al-miraj impex
  • Pakistan - Lahore
  • mai 2010 à mars 2013

 Preparation, presentation, review and analysis of financial statements and ensuring that all month-end closing tasks including schedules, reconciliations, management reports, booking of accruals and period closing is done on time with accuracy
 Managing the Accounts Payable by ensuring suppliers’ payment on time, quarterly supplier reconciliation, regular review of aging report and timely monthly closing of accounts payable
 Managing Accounts Receivable by ensuring receipt on time by review and analysis of aging report
 Preparation, monitoring and controlling of budgets and taking necessary actions to control cost
 Managing the Fixed Assets of the company including Fixed assets register maintenance, addition / deletion of assets, preparing depreciation schedule and quarterly stock take
 Assist and support audit team in evaluating and assessing the accounting systems
 Dealing with all matters related to Taxation
 Monitoring cash flow through cash flow statement to track fund position at any given time
 Keeping track of cash in hand and petty cash management

Éducation

Master, management and financial accounting
  • à ICMAP
  • septembre 2012

Acma(finalist).Only Two papers one from stage 5 and one from stage 6 still remaining to qualify and is waiting result of these two papers

Baccalauréat, commerce
  • à university of Punjab
  • septembre 2006
Etudes secondaires ou équivalent, pre engg
  • à BISE Lahore
  • juillet 2004

Specialties & Skills

QuickBooks
Peachtree
Financial Accounting
Microsoft Excel
Peachtree Accounting Software
MS Office
QuickBooks

Langues

Anglais
Expert
Urdu
Expert

Formation et Diplômes

2 day workshop on IAS&IFRS (Certificat)
Date de la formation:
October 2011
Valide jusqu'à:
October 2011