Knowledgeable Account Officer skilled in maintaining high standards of quality in [Accounting Records], [Financial Statements] and [Account Reconciliation] as well accurately preparing weekly and monthly reports within tight deadlines.
Offering more than [05] years of [Construction Industry] experience and the drive to exceed expectations in all areas. Experienced [Associate Officer] with over [02] years of experience in an [NGO]. Excellent reputation for resolving problems and improving vendor/client satisfaction.
Khan Brother Engineers was established in 1992 and since then they are committed to provide their services through quality workmanship for erection of pre-engineering buildings for all of customers with the most efficient, effective and safest full-service.
In Khan Brother Engineers performing following responsibilities:
· Prepared, Examined and analyzed accounting records, Financial Statements and other financial reports to assess accuracy, Completeness and conformance to reporting and procedural standards.
· Responded to requests for information and resolved issues quickly.
· Managed book of business to maintain positive relationships and make effective financial.
· Addressed problems with accounting, billing and service delivery to maintain and enhance client satisfaction.
· Correspondence with banks to keep balance in maintaining accounts and payment processing.
· Reconciled financial discrepancies by collecting and analyzing account information.
Agribusiness Support Fund a not-for-profit, undersection 42 registered company established by Ministry of Food, Agriculture and Livestock & Asian Development Bank. Well reputed in development sector, worked with multiple donor agencies like ADB, USAID, IFAD, APFP and ARISE.
In Agribusiness Support Fund performing following responsibilities:
· Prepared and submitted detailed reports regarding assignments and ongoing applications.
· Organizing meetings of" Board of Directors" and complete all working papers.
· Maintain provident & Gratuity Fund Records. Liaison with Banks for Investment Purposes.
· Complete working of the Final Settlement of Leavers.
· Prepared Bank Reconciliation Statement and Finalization of Accounts. Liaison with Auditors for Audit Purposes.
· Attended personnel meetings and training sessions to improve skills and learn new policies and procedures.