I could make a valuable contribution in organization. I am working as Assistant Manager Finance & Imports in Chemical Synergies (Pvt) Limited since May 2016, I worked as Assistant Manager Accounts/Imports in Ocean Bunkers since Dec 2013 to May 2016, also I worked as a Trainee Manager in pizza hut ten month, one years working experience as an assistant accountant in crescent Bahria cadet college.
Within my Professional Accounts & Finance background, I believe, . In 2012 I completed my Master in Economics & Finance from Karachi University in 2012. June 2010, I completed my Bachelor of Commerce from Govt Islamia College
All Import Operations Related matters.
➢ Monitor and Track upcoming shipments and coordination with Finance
department for timely Fund Arrangement.
➢ Checking all arrangement for upcoming shipment for ERP process, PR, PO,
shipments creation.
➢ Ensure retirement of original documents from Banks for upcoming
shipments.
➢ Correspondence with clearing agent for timely GD filing provide all related
data.
Shipment Creation in Oracle and process funds demands.
➢ Coordination with Finance for Payorders and online payments for Duties,
Delivery order and clearing expense.
➢ Timely Clearance from Customs to avoid demurrage and detentions and
Transportation coordination with vendor for timely delivery at plant.
➢ Correspondence with clearing agent for timely Clearance.
➢ Correspondence with Shipping Companies for delivery order charges and
refund matters.
➢ Correspondence with Banks for PSW matter and FI arrangement.
➢ Managing import data for different departments sales Tax, Finance
Assist in the preparation of monthly management reporting,
Monthly/Quarterly Profit & loss Statements,
Running Finance and Lease Facility Documentation,
Monitor Local and Foreign Suppliers Payments,
Manage Receivables and reconcile ledgers,
Check and verify documents on back reconciliation and ensure proper documentation for internal and external auditors review,
Monthly Sales Tax Filing,
Raw Material Forecasting and Budgeting,
Finished Good Costing Local/Import,
LC opening and correspondence with banks,
Import Documentation ( Performa Invoice, Commercial Invoices, Letter of Credits)
Handing import Clearing Issues (Weboc and on-line Goods Declaration filing, Duties & Taxes)
Correspondence with shipping Companies ( D/O Charges, Security deposits for Containers)
Experience of dealing with shipping line companies, Banks, Clearing Agents Custom Authorities.
LC opening and correspondence with banks.
Import Documentation Strong knowledge of customs and import documentation, Performa Invoice, Commercial Invoices, Letter of Credits
Handing import Clearing Issues WeBOC and on-line Goods Declaration filing, Duties Taxes
Correspondence with shipping Companies DO Charges, Security deposits for Containers
Taxation
Petty cash
Receivables and payables ledgers
Payroll
Bank reconciliation Cash book
Documentation of Selling and Purchase of products
Invoicing and Billing
Correspondence with clients and Refineries
Petty cash
Receivables and payables ledgers
Payroll
Bank reconciliation Cash book