I've completed my two years Bachelor degree in Commerce from University of Karachi and have knowledge in Computerized Accounting.Looking for a position as an Accountant in a reputable organization where I can contribute to the success of the company while gaining experience in the Accounts field.
Producing financial reports related to budgets, account payables, account receivables, expenses, etc
Preparing General Entries in General Journal.
Preparing Bank Reconciliation.
Preparing various payments to vendors and suppliers.
Recording all admin expenses.
Good communication skills -both written and verbal A.
Command over Excel.
Registeration Process in FBR , Enrollment Process in FBR, Annual Income Tax Filling ,Monthly Sales Tax ,WithHolding procedure Quarterly,Half yearly , Documentation Accounting. E- Filing procedure with FBR/IRIS Portal. Understanding with forms. Prepare Tax computation,Balance sheet,Profit n loss Account and Wealth statements Filling Technique. Submission of Returns.
Post Daily entries in accounting software. Maintain daily record for cash expenses Prepare cheques and Documents for Demand drafts etc
Prepare excel sheets for Sales tax and Income tax returns Prepare Sales tax Challans, Withholding Challans,Income tax Challans.
Maintain record of Goods purchased, arrived and goods in transit along with party name and payment status.
Make sure Income tax withheld, recorded and reported for each payment.
Maintain record of parties regarding Receipts and payments.
Making All kinds of Challans.
Making All kinds of Challans.
Maintain record of parties regarding Receipts and payments
Preparing financial documents such as invoices, bills, and accounts payable and receivable
Completing purchase orders
Managing payroll
Completing financial reports on a regular basis and providing information to the finance team
Completing bank reconciliations
Entering financial information into appropriate software programs
Managing company ledgers
Processing business expenses
Posting daily receipts
Verifying balances in account books
Verifying bank deposits
Managing day-to-day transactions
Recording office expenditures and ensuring these expense