I am a self–determined, highly motivated and a goal-oriented professional, synonymous with creativity that can take initiatives and is able to take the right
decisions at the right time. With my consistent academic achievements, audit professional experience and firm commitment to hard work that is oriented
towards productive results and innovation, I believe that I am the best fit to a suitable position in your organization.
Experienced Accountant with a demonstrated history of working in the chemicals industry. Skilled in Bank Reconciliation, Account Reconciliation, Accounts Payable, Writing, and Grammar. Strong accounting professional with a Bachelor's degree focused in Business/Commerce, General from ACCA.
Experience
K.K commodities
Aug 2023 – Present
Karachi
Finance Officer
Managing the accounts and Finance of the company which are listed below
Bank dealings
Bank reconciliations
Customer ledger reconciliation
Supplier ledger reconciliation
Withholding taxes and their payment proceedings
Accounts management
Bookkeeping
Voucher posting.
Aventek pharmaceuticals pvt ltd.
Jun 2022 – Jun 2023
Lahore
Accounts Officer
Achievements/Tasks
Conducted batch-wise product costing analysis, accurately
determining the cost of goods manufactured for various product
lines.
Regular recording of stock presented at different warehouses within
the premises.
Managed accounts receivables and payables, effectively
monitoring and resolving outstanding invoices and payments
Implemented efficient cash management procedures, optimizing
cash flow and minimizing idle funds.
Calculated withholding tax (WHT) and created challans for tax
remittance, maintaining strict adherence to tax laws.
Prepared and maintained trial balance, assisting in the accurate
reporting of financial data
Assisted in the preparation of financial statements, providing
critical insights into the company's financial health
Sun prime clay pvt. Ltd.
Sep 2020 – Jun 2022
Lahore
Accounts Officer
Achievements/Tasks
Conducted customer balances reconciliation, resolving
discrepancies and improving customer satisfaction.
Performed bank reconciliations, identifying and rectifying
discrepancies to maintain accurate financial records.
Supported general administrative tasks, coordinating with cross-
functional teams to streamline financial processes
Expertly handled vouchers reimbursement, ensuring compliance
with company policies and relevant regulations