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Accountant Entry

Location:
Karachi, Sindh, Pakistan
Salary:
2500
Posted:
March 14, 2023

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Resume:

Ahsan Mobeen

Date of birth: * Apr **** Nationality: Pakistani Phone number:

+92-331******* (Mobile) Email address: advwgg@r.postjobfree.com Address: 4/H 50 Shah Faisal Colony Karachi,Sindh, Pakistan, 75230, Karachi, Pakistan (Home)

10 JUN 2018 – CURRENT Karachi, Pakistan

SR.ACCOUNTANT HOUSE OF BUSINESS MACHINES(PVT.) LTD 1. Preparing and analyzing financial statements

2. Managing the general ledger

3. Leads audits, both internal and external, and ensures that the company complies with regulatory requirements and accounting standards

4. Provides guidance and mentorship to junior staff, including staff accountants and accounting clerks 5. Developing and implementing accounting policies and procedures 6. Collaborates with cross-functional teams, such as finance, operations, and legal, to provide financial analysis and insights that support key business decisions 7. Manages budgets and forecasts, analyzes variances, and provides recommendations to senior management

10 MAR 2016 – 10 JAN 2018 Algeria, Algeria

ACCOUNTING SUPERVISOR M/S. OMNI MANAGEMNT LTD. ALGERIA 1. Prepares asset, liability, and capital account entries by compiling and analyzing account information. 2. Prepares payments by verifying documentation, and requesting disbursements. 3. Making Payroll for Labors and Staff.

4. Reconciles financial discrepancies by collecting and analyzing account information. 5. Assisting in preparing monthly financial statements 6. Ensuring that the accounting policies and norms are in compatible with double entry standard 7. Monthly bank reconciliations including follow-up and correction of outstanding items. 1 FEB 2009 – 1 MAR 2016 Karachi, Pakistan

ACCOUNTING SUPERVISOR M/S. SHAUKAT & RAZA (PVT) LTD F0

D8 Perform cash management functions

F0

D8 Posting Vouchers and Journal Entries Into Accounting Software. F0

D8 Making Payroll for Labors and Staff.

F0

D8 Closely monitoring and verifying the accounts on a daily basis. F0

D8 Ensuring that the accounting policies and norms are incompatible with double entry standard

F0

D8 Monthly bank reconciliations including follow-up and correction of outstanding items.

F0

D8 To manage monthly general ledger posting & closing, passing necessary journal entries.

F0

D8 Preparation of consolidated statements for all accounting & financial aspects. F0

D8 Preparation of Financial Statements on a monthly basis. F0

D8 Correspondence with Banks, Vendors, and other Business Partners F0

D8 Prepares payments by verifying documentation, and requesting disbursements. WORK EXPERIENCE

1 MAY 2007 – 31 JAN 2009 Karachi, Pakistan

ASSISTANT ACCOUNTANT HORIZON TECHNOLOGIES (PVT) LTD 1. Petty cash checking & reconciliation.

2. Handling Bank deposits/ filing.

3. Management of Account Receivable / Account Payable and its regular reconciliations. 2 FEB 2010 – 31 DEC 2012 karachi, Pakistan

MASTER OF COMMERCE (M.COM) Federal Urdu University of Arts, Science and Technology Address Karachi, karachi, Pakistan

1 FEB 2003 – 31 AUG 2007 karachi, Pakistan

BACHELOR OF COMMERCE Federal Urdu University of Arts, Science and Technology Address Karachi, karachi, Pakistan

1 APR 2000 – 31 AUG 2002 karachi, Pakistan

HIGHER SECONDARY EDUCATION Board of Intermediate & Secondary Education Karachi Address Karachi, karachi, Pakistan

6 JAN 1998 – 1 JUL 2000 karachi, Pakistan

SECONDARY SCHOOL CERTIFICATE Board of Secondary Education Karachi Address Karachi, karachi, Pakistan

Mother tongue(s): URDU

Other language(s):

UNDERSTANDING SPEAKING WRITING

Listening Reading Spoken

production

Spoken

interaction

ENGLISH B2 B1 B1 B1 B1

Levels: A1 and A2: Basic user; B1 and B2: Independent user; C1 and C2: Proficient user Microsoft Office Microsoft Excel Zoom Outlook LinkedIn Google Docs EDUCATION AND TRAINING

LANGUAGE SKILLS

DIGITAL SKILLS



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