مجموع سنوات الخبرة: 4 سنوات, 4 أشهر
يناير 2013
إلى يناير 2015
Accountant
في Total Parco
البلد :
باكستان - إسلام أباد
• Update and maintain accounting journals, ledgers and other records detailing financial business transactions (e.g., disbursements, expense vouchers, receipts, accounts payable). Enters data into computer system using defined computer programs (ERP).
• Petty cash handling and was responsible to disburse petty cash to various outlets
• Bank reconciliation, posting and balancing.
• Receivables & Payables Management
• Assisting Accounts Manager by supervising different accounting stages right from the data entry, recording to the finalization of accounts, preparing financial statements and reports
• Experience in preparation of balance sheet accounts.
• Maintenance of Debtors age list, Maintenance of Loan schedules
• Controlling the inventory.
• Helping by providing supporting documents to external & internal auditors.
• Depreciation calculation as per IAS-16
• Provision of doubtful debts as per IAS-37
• Experience in preparation of cash flow.
• Petty cash handling and was responsible to disburse petty cash to various outlets
• Bank reconciliation, posting and balancing.
• Receivables & Payables Management
• Assisting Accounts Manager by supervising different accounting stages right from the data entry, recording to the finalization of accounts, preparing financial statements and reports
• Experience in preparation of balance sheet accounts.
• Maintenance of Debtors age list, Maintenance of Loan schedules
• Controlling the inventory.
• Helping by providing supporting documents to external & internal auditors.
• Depreciation calculation as per IAS-16
• Provision of doubtful debts as per IAS-37
• Experience in preparation of cash flow.
أغسطس 2012
إلى سبتمبر 2012
Internal auditor (internee)
في Summit Bank
البلد :
باكستان - لاهور
• Confirming accounts receivable and other accounts with a third party.
• Observing the physical inventory count.
• Observing the physical inventory count.
يناير 2011
إلى يونيو 2012
Accountant
في Indus Pharma
البلد :
باكستان - إسلام أباد
• Update and maintain accounting journals, ledgers and other records detailing financial business transactions (e.g., disbursements, expense vouchers, receipts, accounts payable). Enters data into computer system using defined computer programs (ERP).
• Follow-up against outstanding invoices.
• Production of profit and loss.
• Petty cash handling and was responsible to disburse petty cash to various outlets.
• Handling payroll of the company
• Bank reconciliation, posting and balancing.
• Assisting Accounts Manager by supervising different accounting stages right from the data entry, recording to the finalization of accounts, preparing financial statements and reports
• Helping team with month end closing with debtors, reconciliation report, Accruals
• Follow-up against outstanding invoices.
• Production of profit and loss.
• Petty cash handling and was responsible to disburse petty cash to various outlets.
• Handling payroll of the company
• Bank reconciliation, posting and balancing.
• Assisting Accounts Manager by supervising different accounting stages right from the data entry, recording to the finalization of accounts, preparing financial statements and reports
• Helping team with month end closing with debtors, reconciliation report, Accruals
يونيو 2010
إلى ديسمبر 2010
External Auditor (Internee)
في AF.Ferguson
البلد :
باكستان - لاهور
• Detail ticking (Perform Bank Reconciliation).
• Cash Balance Verifications.
• Receivable Confirmation.
• Fix Assets Verifications
• Cash Balance Verifications.
• Receivable Confirmation.
• Fix Assets Verifications
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