概要

Commerce graduate and partly qualified Associate Certified Chartered Accountant ACCA applying for a General Accounting position where I can use my knowledge and experience to ensure the delivery of all financial and accounting activities related to accounts payable, accounts receivables and general accounting

工作经历

公司标识
Manager Finance
Level 3 Back Office Services Pvt Limited
May 2019 - 代表 | Karachi, Pakistan

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公司标识
Asst. Finance Manager
Level3 Back Office Services (Pvt) Ltd
Feb 2018 - May 2019 | Karachi, Pakistan

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公司标识
Finance Executive
Chaseup
Jan 2017 - Feb 2018 | Karachi, Pakistan

Promoted to Finance Executive Position:
Account Payable:
• prepare daily payment plan, coordinate with procurement managers & vendors to manage payments according to
available budget on daily basis
• manage payments of key accounts, coordinate with key accounts representatives and ensure healthy relationship
• payroll disbursement, process staff advances and staff loans along with recording in ERP
• reconciliation of payroll with general ledgers and identify discrepancies
• resolve any issues in overall payment process
• ensure proper recording of withholding tax and submission of withholding tax through e-filling
• supervise AP disbursement group, ensure accuracy and timeliness in payable process

Fund Management:
• prepare daily fund position report
• report excess/shortage of fund in bank accounts for bank deposits & fund transfer decisions
• review cash movement report and closing of all branches

Accruals & Pre-payments:
• maintain schedule of prepaid insurance & prepaid rent
• post closing entries of rent expense & insurance expense in ERP
• ensure insurance cover is in line with the stock valuation & fixed asset register balances
• Post accrued payroll entries in general ledger

公司标识
Finance Officer
Chase Up
Oct 2015 - Dec 2016 | Karachi, Pakistan

• process a high volume of invoices, ensure accuracy and timeliness
• process payments through cash, cheques, pay order, RTGS, online transfers
• matching, batching and coding invoices
• perform AP disbursement
• establish, maintain and reconcile the general ledger
• maintaining and handling cheque books, keeping record for timely issuance to ensure smoothness in day to day
operations
• prepare bank reconciliation
• prepare supplier ledger reconciliation
• prepare miscellaneous reports as required by other departments
• perform other related duties as required
• providing accurate financial information to seniors & manager

公司标识
Accounts Officer
Chase Up
Aug 2015 - Oct 2015 | Karachi, Pakistan

• posting of AP invoices into ledgers, making adjustments of purchase return, discount received and others when
required
• posting general entries of branding receivables, shelf rent and advance income tax
• proper filling of invoices
• petty cash posting
• liaison between the head office's and the branch’s accounts payable

公司标识
Administrator
Kans Model Academy
Jan 2010 - Aug 2015 | Karachi, Pakistan

Administrator in family owned educational institute

学历

University of Karachi
学士, 贸易学士, B.Com‎
Accounting
所占比重 60%
2016
ACCA Pakistan
硕士, 贸易硕士学位, Associate Chartered Certified Accountant (In Progress)‎
Accounting, Finance, Audit
所占比重 70%
2016
ACCA Pakistan
证书, Certified Accounting Technician‎
Accounting
Completed
2010

技能

中级 Acount Payable
熟练 Bank Management
熟练 Budgeting & Forecasting
熟练 Cash Flow Management
熟练 Cash Flow Reporting
熟练 Conservation Awareness
中级 Costing Management
熟练 ERP Software Command
中级 Fund Management
熟练 Handling Assignments
中级 Income Tax
熟练 Internal Financial Reporting
中级 Managing Midsize Teams - 5 to 20 People
中级 Microsoft Dynamics ERP
熟练 MIT Knowledge
中级 Offshore Banking
中级 Offshore Operations
熟练 Reconciliation
熟练 Treasury Management
中级 Warranty Quality Assurance Process
中级 تخصيص المركبات

语言

中级 英语

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