WORK EXPERIENCE.
MANAGER ACCOUNT @ ABGURT (PVT) LTD.
Organization Abgurt (Pvt) Ltd..
Organization Type Commercial Importers (Industrial Measurement Instrument)
Designation Manager Accounts
Tenure March 2016 to Present
Job Description • Financial statements Preparation (P&L and Balance Sheet)
• Ensuring that financial records are accurately maintained
• Handling Imports (Shipment Nomination, Clearing, Remittance etc)
• Variance analysis (Revenue/Expenditure)
• Working Capital Management
• Ensure timely recovery from clients
• Filing monthly sales tax, Income tax and (WHT) withholding tax.
• Supervising Payroll Processing
• Ensuring Bank Reconciliation Statement
• Maintaining of client and vendors account
SPACE SHIPS INTERNATIONAL, Karachi, Sindh.
(FREIGHT FORWARDING COMPANY)
Duration
March 2013 to Present
Designation
Accountant
Job Descriptions
Managing working capital (Payables and Receivables)
Maintaining Ledgers
Payroll preparation
Vouchers (Cash Bank Payment / Receipt, Journal vouchers)
Monthly Bank Reconciliation Statement
Corresponding with vendors and debtors
company
Artistic Garment Industries, Karachi, Sindh.
Duration
January 2010 to February 2013
Designation
Factory Accountant
Responsibilities
1.Payroll preparation
2.Vouchers (Bank payment, Bank Receipt, Cash Payment, Cash Receipt, Journal vouchers)
3.Payroll preparation
4.Monthly expense, salary amp overtime payment summary.
5.Monthly EOBI amp SESSI Contribution
6.Vouchers (Bank payment, Bank Receipt, Cash Payment, Cash Receipt, Journal vouchers)
7.Recording of Inter Unit Transactions on daily basis.
8.Provide Inter Unit Transaction Vouchers amp Ledgers to all respective Units.
9.Preparation of Bank Reconciliation of Corporate Office.
10.Recording of Credit amp Debit Transaction of Corporate Office Banks.
11.Recording of Bank Receipts amp Payment Vouchers of Corporate Office.
12.Preparation of Funds Tr
• Financial statements Preparation (P&L and Balance Sheet)
• Financial statements Preparation (P&L and Balance Sheet)
• Ensuring that financial records are accurately maintained
• Handling Imports (Shipment Nomination, Clearing, Remittance etc)
• Variance analysis (Revenue/Expenditure)
• Working Capital Management
• Ensure timely recovery from clients
• Filing monthly sales tax, Income tax and (WHT) withholding tax.
• Supervising Payroll Processing
• Ensuring Bank Reconciliation Statement
• Maintaining of client and vendors account