Chief Accountant
ATM Enterprises Pakistan PVT LTD
Total years of experience :17 years, 0 Months
1-Generation of Vouchers
2-Maintenance of Bank Accounts & Balances
3-Preparation of Monthly Sales Tax Return
4-Payroll Management
5-HR Management
6-Internal Audit Management
7-Import Exports Management
8-Letter of Credit Management
9-Preparation of Closing Financial Statements
10-Annual Budgeting
11-Annual Financial Analysis
Preparation of payrolls
Preparation of Consultants Share
Preparation of Cash Account and Bank Reconciliation Statement
Calculation & Deduction of Income Tax from salaries of employees
Preparation of Financial Statements
Preparation of monthly bank reconciliation statement
Preparation of monthly expenditure statement
Development & implementation of management polices
To act as disturbance handler
Handling of panel accounts
Preparation of payrolls.
Preparation of expenditure report on monthly, quarterly and annual basis.
Preparation of Operational and Development Budget on monthly and annual basis.
Verification of comparative statements and BOQ’s (Bill of Quantity).
Pre-Audit of procurement and payroll, Overtime, Shift Allowance files & Medical Cases.
Preparation of Cash Account and Bank Reconciliation Statement.
Calculation & Deduction of Income Tax from salaries of employees.
Calculations and deductions of I-Tax and Sales Tax from Contractors & suppliers of the commission.
Issuance of I-Tax and Sales Tax certificates as per FBR format.
Earned high marks for the quality of classroom teaching, lesson plans and instructional materials used in teaching diverse subjects (e.g., Accounting, Business math, Commerce, Economics and Banking).
Developed innovative approaches that were held as the model standard for meeting district goals in areas including technology integration across the curriculum, experiential learning, literacy and diversity.
Consistently commended for ability to redirect students exhibiting behavior problems by replacing disruptive, unproductive patterns with positive behaviors. Led district-wide in-service on classroom management.
Served on institution committees and taskforces focused on curriculum development, textbook review, fundraising and anti-bullying efforts.
Quickly became a "first-to-call" resource in current substitute teaching role, typically working four days per week. Personally requested by many full-time teachers to take over their classrooms during absences.
Record the amount of money spent and received daily by clients or company management, using computer cash-flow software.
Develop and check budgets.
Recommend an appropriate tax structure to use the most efficient way of holding tax assets
Give advice on a range of financial aspects of a business such as budgets, tax and cash flows.
management with strategic planning and human resources (HR)Analyze how well the company is performing financially.
Review businesses' accounting procedures
Assist
Prepare and oversee financial reports, budgets and re-projections.
Review property management monthly reports, annual budgets, quarterly re-projections and annual escalation true-ups.
Generate financial reports and perform financial analysis as required.
Involved in property acquisitions/sales. Participate in the due diligence process and review financial due diligence.
Review/prepare acquisition/sale closing statements.
Responsible for financial review and accounting and for accuracy of property rent rolls, financial reports, budgets and re-projections.
During the period of his assignment, we found her hardworking, sincere and a keen learner.