概要

As an accomplished Accountant with a stellar track record in the accounting industry, I bring a wealth of expertise in Reconciliations (Bank and General Ledger), Internal Audits, Accounts Payable & Receivable, and Sales Tax Preparation. My proficiency with advanced tools such as SAP, Oracle, ERP systems, and Microsoft Office enables me to drive efficiency and accuracy in all financial operations. I am passionate about joining a respected organization where I can harness my skills, uphold the highest standards of professionalism, and contribute significantly to achieving long-term goals. My dedication to excellence and commitment to continuous improvement define my approach to every challenge.

工作经历

公司标识
Branch Accountant
Beaconhouse School System
Jul 2024 - 代表 | Faisalabad, Pakistan

1. **Financial Reporting and Analysis:** - Analyze financial data and provide insights and recommendations for financial performance improvements. - Ensure accurate and timely reporting of all financial transactions.2. **Budgeting and Forecasting:** - Assist in the preparation of the annual budget and periodic forecasts. - Monitor branch expenses against the budget and provide variance analysis. - Support branch management in financial planning and decision-making.3. **Accounts Management:** - Oversee accounts payable and receivable processes, ensuring timely and accurate processing. - Conduct bank reconciliations and general ledger reconciliations. - Manage payroll processing and ensure compliance with payroll policies and procedures.4. **Internal Controls and Compliance:** - Implement and maintain effective internal controls to ensure accuracy of financial records. - Ensure compliance with college policies, procedures, and regulatory requirements. - Support internal and external audits by providing necessary documentation and explanations.5. **Financial Systems and Tools:** - Utilize financial software (SAP B-1) for accounting and financial reporting. - Maintain and update financial records in the system accurately.6. **Other Duties:** - Assist in the preparation of financial reports for various stakeholders, including management and regulatory authorities. - Support special projects and initiatives as assigned by the Branch Head. - Collaborate with other departments to ensure cohesive financial management across the branch.

公司标识
Sr. Officer Accounts Payable
United Industries Limited
Jan 2025 - Jul 2024 | Faisalabad, Pakistan

Perform month-end and year-end close processes, including reconciliations and accruals. Assist in external audits, providing necessary documentation and explanations to auditors. Efficiently process advertisement invoices, ensuring timely payments after thorough verification.Maintain meticulous and comprehensive records of advertisements using Excel sheets. Prepare debit/credit notes for vendors associated with advertisements to resolve discrepancies, while keeping detailed records and forwarding them to the relevant print/electronic media channels or agencies.Conduct vendor reconciliations related to advertisements, confirm balances, and effectively resolve any disputes that arise.Handle the recording and processing of various direct invoices (without purchase orders), including utility bills, TA/DA bills, labor and rental contract bills, registration and vehicle transfer bills, etc.Create comparative sheets for utility bills using Excel, facilitating better analysis and decision-making.Manage the entire process concerning services provided by external parties, excluding advertisements, such as consultants, legal advisors, technical fees, cash carry services, security services, telecom services, courier services, hotels/travel agents, entertainment, and others.Process EOBI & Social Security payables on a monthly basis, ensuring compliance with legal requirements.Document accounts payable applications in the system to settle supplier advances, collaborating closely with the Tax & GL department to meet necessary obligations.Handle AP GRPO base store invoices for nightly payments and AP down payment (advance payments).Process credit memos accurately and maintain detailed records of employees\' fuel cards in Excel.Supervise a team of junior accountants, providing guidance and training as needed.

公司标识
Sr. Officer Internal Audit
Madina Group of Industries
Sep 2021 - Nov 2022 | Faisalabad, Pakistan

• Supervision of seasonal iron scrap buying & warehouse operations & Payment verifications.• Monthly & Random Stock tacking stock Reconciliation. (Steel, Ghee, Oil & General Store Items)• Monthly reconciliation of Purchases.• Pre/post audit of all payments vouchers is duly authorized and are under the applicable rules and procedures of the company• Verification of Admin Expenses.• Verification of Office staff salaries. • Daily Stock Leakage/Damage report. (Ghee & Oil)• Audit of Daily Cash Book. • Daily Cash Count at day end & cross check with cash book. • Audit of daily Sale report of Steel, Ghee, Oil & GST Invoices.• Audit of Purchase orders and GRNs before payment to suppliers. • Audit of Vouchers & Bank Reconciliations.• Audit of Accounts Payable & Receivables.• Audit of salaries, over time and final settlements. • Audit of Contractors Bills. (Civil, Agriculture, Scrap Sorting, Loading/Unloading)• Prepare Daily Driver Expense.• Maintain Daily Fuel Report and Vehicle Average Report.

公司标识
Senior Officer Accounts
TRUE COLORS CORPORATION (PVT.) LIMITED
Jul 2018 - Aug 2021 | Faisalabad, Pakistan

Preparation and posting of vouchers in accounting software.Bank reconciliation.Prepare Cash Book & Day Book.Verification of purchase invoices and ensures timely payments.Prepare Sales Tax invoices & posting Online.Prepare debit/credit notes.Fallow up of receivables.Reconciliation of party ledgers.Prepare parties outstanding balance Letter.Prepare aging report of Creditors & Debtors.Import Documentation.Staff salaries preparation.
 

公司标识
Officer Accounts
TRUE COLORS CORPORATION (PVT.) LIMITED Faisalabad
May 2016 - Jun 2018 | Faisalabad, Pakistan

Prepares and verifies daily reports.Prepares daily income/sales and prepare daily journal entry.Prepares cheque deposits, staff monthly salary and reconcile bank account.Prepares authorized refund vouchers.Assists in compilation of monthly reports.Maintains returned cheque account.Enters data into computer system.Prepares Sales Tax invoices.Prepares I-Form for import documentation.

学历

Government College University Faisalabad.
硕士, 工商管理硕士学位, MBA-Finance‎
Accounting & Finance
CGPA 3.0/4
2017
The Superior College
学士, 贸易学士, B.Com‎
Accounting
所占比重 50%
2012
The Superior College
中级/A级, 贸易学学生, I.Com‎
Accounting
所占比重 56%
2010
Faisalabad Board (BISE Faisalabad)
大学入学/0级, 艺术, matric‎
Commerce
所占比重 55%
2008

技能

熟练 Accounting
熟练 Accounting System Management
熟练 Accounts Administration
中级 Accounts Acquisitions
熟练 Accounts Adminstration
中级 Accounts Finalization
熟练 Accounts Management
熟练 Accounts Payable Receivable
熟练 Accounts Payments Handling
中级 Accounts Production
中级 Accounts Receivable Software Command
熟练 Accounts Software Command
中级 Accurate Record Keeping
中级 Admin Operations Management
中级 Analytical Skills
中级 Audit Assignment Handling
熟练 Auditing
熟练 Auditing Skills
熟练 Bank Reconciliation on
熟练 Bill Verification
熟练 Book Keeping
熟练 Bookkeeping
中级 Budgeting
中级 Cash Flow Management
中级 Commercial Awareness
中级 Corporate Accounting
中级 Corporate Finance
中级 Critical Incident Debriefing
熟练 Document Handling
中级 Electrical Controls Knowledge
熟练 End to End Sales
熟练 ERP
中级 ERP Software Command
熟练 Field Task Management
中级 Financial Accounting
初学者 Financial Analysis
中级 Funds Management
中级 Import Documentation
中级 Internal Controls
中级 Internal Financial Reporting
熟练 Inventory Accounting
熟练 Invoicing Skills
中级 Knowledge of Spreadsheets
熟练 Ledger Management
熟练 MS Office
熟练 Payable Accounts
中级 Payroll
熟练 Persuasion Customer
熟练 Planning
熟练 Presentation Skills

语言

熟练 乌尔都语
熟练 英语

Mubashar 联系人

Shoaib Razzaq
Sitara Chemical Industries Limited
Sarmad Mumtaz
Packages Limited