Description
I am Looking for a Job in Islamabad after Shifting Gujranwala to Islamabad
latest Cv are attached
Experience
Accountant
Punjab Group Of Colleges · Full-time Dec 2021 – Present · 1 yr 8 mos, Punjab, Pakistan · On-site
·Manage Petty Cash Manage Fee Vouchers and Concessions Manage Daily
·Preparing ledgers and reconciliation of ledger data.
·Maintaining accounting books
·Preparing and posting journal vouchers
·Updating accounts receivables and issuing invoices
·Preparing weekly and monthly reports
·Assisting in processing balance sheets,income statements and other financial statements
·Assisting in preparation of salary statements,
··Maintain Books of Accounts.
·Cash Handling
·Cash Books maintain and Cash Report Send to corporate office daily Basis.
·Generating the Report as required by corporate through software
·Preparation of Voucher&Pay-In-Slip(Money Receipt)
·Reconciliation of Imp rest Accounts
·Reconciliation receivables & payable accounts
Cashier
Chase Up · Full-time Chase Up · Full-time Apr 2021 – Dec 2021 · 9 mos On-site Pakistan
Responsibility for Branche & 21 Express Cash Counter & Vendor bills
• Preparation Profit & Loss A/c
• Maintain Books of Accounts.
• Cash Handling
• Cash Books maintain and Cash Report Send to corporate office daily Basis.
• Generating the Report as required by corporate through software
• Preparation of Voucher & Pay-In-Slip(Money Receipt)
• Reconciliation of Imp rest Accounts
• Reconciliation receivables & payable accounts
• Vendor Bills checking and process for Cheque and NEFT
• Reconciliation of Branch Accounting.
• Maintain All Accounting voucher entry,
• Maintain Bank Reconciliation and Reconciliation of Debtors & Creditors,
• Maintain day to day Accounts & reporting Corporate office on time to time,
Providing customers a personalised, friendly and efficient cashiering service.
Taking payments from customers via cash, cheques and credit cards.
Entering purchases into a cash register then calculating the total purchase price.
Responsible for the accurate and timely allocation of cash.
In charge of daily cashbook management and also bank reconciliations.
Banking a large volume of cheques and cash daily.
Identifying potential sales leads and referring them to colleagues. .
Recording of monies received and paid out.
Preparing BACS and TT payments using the online bank system.
Undertaking till balancing & administration activities in an efficient manner.
Helping to resolve customer complaints.
Assisting with shelf stacking, sticking prices on items etc.
Training new cashiers.
Sorting, counting, and wrapping currency and coins.
Compiling and maintaining monetary and also non-monetary reports and records.
Senier Accountant
Madina Metal Works · Part-time Jul 2019 – Feb 2021 · 1 yr 8 mos · Gujranwala, Punjab, Pakistan · On-site
·Manage Petty Cash Manage Vouchers Daily
·Preparing ledgers and reconciliation of ledger data.
·Maintaining accounting books
·Preparing and posting journal vouchers
·Updating accounts receivables and issuing invoices
·Preparing weekly and monthly reports
·Assisting in processing balance sheets,income statements and other financial statements
·Assisting in preparation of salary statements,
··Maintain Books of Accounts.
·Cash Handling
·Cash Books maintain and Cash Report Send to corporate office daily Basis.
·Generating the Report as required by corporate through software
·Preparation of Voucher&Pay-In-Slip(Money Receipt)
·Reconciliation of Imp rest Accounts
·Reconciliation receivables & payable accounts
·Vendor Bills checking and process for Cheque
Education
University Of Central Punjab UCP
Associate’s degree, Accounting and Finance Sep 2018 – Jul 2021
Grade: A
Activities and societies: CricketActivities and societies: Cricket
Government College (GC), Gujranwala
Intermediate, Liberal Arts and Sciences/Liberal Studies Sep 2016 – Aug 2018
Grade: D
Activities and societies: Cricketer
The Punjab Higher Secondary School Khiali Gujranwala
BISE Gujranwala
Matric (Science), Oct 2011 – Aug 2013
Grade: B