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Manager Customer Service

Location:
Kings County, NY
Salary:
$40,000
Posted:
November 23, 2017

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Resume:

Muhammad Anwar

Staff Accountant - Accounting Firm NY

Brooklyn, NY 11220

ac3gip@r.postjobfree.com - 347-***-****

To obtain a challenging position in accounting, tax, or auditing with emphasis on CPA and room for upward mobility.

WORK EXPERIENCE

Staff Accountant

Accounting Firm NY - September 2015 to Present

Assistant Manager Papas F.C.

Manager

Island Food Court - New York, NY - July 2014 to August 2015 New York (2012-2013)

Manager

Golden Deli - New York, NY - 2008 to 2011

Manager

Bola Management - New York, NY - 2006 to 2007

Senior Supervisor

Sui Northern Gas Pipe Lines Limited - 1994 to 2005 Supervised the data processing staff regarding key performance indicators Prepared reconciliation statements, and solved investigated questionable data of more than 200,000 customers

Assisted the Senior Executive to complete the billing tasks Updated and maintained accounting journals, ledgers, and other records Analyzed discrepancies during the billing cycle

Supervised role mapping, workflows, and delegated tasks Oversaw work of coworkers which enhanced leadership, teamwork and team coordination abilities Monitored and analyzed monthly operating result against budget Created a guide of financial control and planning procedures EDUCATION

Master in Accounting & Financial Management

Keller College of Management New York

2015

MBA in Finance, Accounting

College of Professional Studies - Multan

1998 to 2000

B.Com in Accounting, Auditing, Tax, Statistics, Banking Government College of Commerce - Sahiwal

1987 to 1989

Pre-engineering

Government College - Sahiwal

1984 to 1986

ADDITIONAL INFORMATION

Skills: U.S. Citizen, NY State Driving License

Working efficiently in a team and detail oriented. Extensive knowledge of the Internet and Internet related searches Customer service, Cash Handling, Managed full cycle bookkeeping, Experience with QuickBooks, Pro Series, Excel, MS Office, Update Accounting journals and maintaining ledgers, Reconcile Bank Statements at the end of month

Prepare Individual (1040) and Corporation tax returns (1120, 1120S) after completion of Profit & Loss Account and Balance Sheet of the corporations



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