Total Years of Experience: 9 Years, 0 Months
July 2010
To April 2013
Assistant Accountant
at A.H.Y Plastic Industry (Pvt.) Ltd
Location :
Pakistan - Lahore
Current Attachment: A.H.Y Plastic Industry (Pvt.) Ltd. July 2010 To date
Working as an Assistant Accountant I am doing following jobs.
• Data Entry (Cash Payments & Receipts, Bank Payments & Receipts, Journal Vouchers)
• Handling Inward & Outward Gate Passes (Sale & Purchase)
• Maintaining Daily Transaction Reports.
• Maintaining Daily Stock Report.
• Handling Dispatch of Goods
• Carrying Cash & Cheque Bank Deposit & Withdraw and also Recovery from the Parties.
• Prepare monthly bank reconciliation and circulate it to the branch accountants for rectification of entries.
• Assist to Import Export Manager.
COMPUTER LITERACY:
• Six month diploma in Computer Operator & Office Management from V.T.I Township LHR
• Efficient in use of Microsoft Office, Internet Email etc
• Able to work in computer based environment and efficient in use of Accounting Software (Visual Basic & Smart Business Suite)
Working as an Assistant Accountant I am doing following jobs.
• Data Entry (Cash Payments & Receipts, Bank Payments & Receipts, Journal Vouchers)
• Handling Inward & Outward Gate Passes (Sale & Purchase)
• Maintaining Daily Transaction Reports.
• Maintaining Daily Stock Report.
• Handling Dispatch of Goods
• Carrying Cash & Cheque Bank Deposit & Withdraw and also Recovery from the Parties.
• Prepare monthly bank reconciliation and circulate it to the branch accountants for rectification of entries.
• Assist to Import Export Manager.
COMPUTER LITERACY:
• Six month diploma in Computer Operator & Office Management from V.T.I Township LHR
• Efficient in use of Microsoft Office, Internet Email etc
• Able to work in computer based environment and efficient in use of Accounting Software (Visual Basic & Smart Business Suite)
December 2004
To June 2010
Computer Operator & Asst. Accountant
at Prince Fabrics (Pvt.) Ltd
Location :
Pakistan - Lahore
• Data Entry (Cash Payments & Receipts, Bank Payments & Receipts, Journal Vouchers)
•Handling Inward & Outward Gate Passes (Sale & Purchase)
•Maintaining Daily Transaction Reports.
•Maintaining Daily Stock Report.
•Handling Dispatch of Goods
•Carrying Cash & Cheque Bank Deposit & Withdraw and also Recovery from the Parties.
•Prepare monthly bank reconciliation and circulate it to the branch accountants for rectification of entries
•Handling Inward & Outward Gate Passes (Sale & Purchase)
•Maintaining Daily Transaction Reports.
•Maintaining Daily Stock Report.
•Handling Dispatch of Goods
•Carrying Cash & Cheque Bank Deposit & Withdraw and also Recovery from the Parties.
•Prepare monthly bank reconciliation and circulate it to the branch accountants for rectification of entries
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