To secure a challenging position in a growthoriented organization which provides a wealth experience and constant intellectual stimulation and help me to utilize my strengths for the fulfillment of the organization's objective.
Complete sale cycle
Opex
Handle daily cash transactions (Income & Expenses)
Dealers ledger reconciliation
Journal entries
Manage all accounting transactions
Coordinate with warehouse to make reconciliation report of all inward and outgoing stock
Approve Puchase & Sale orders
Record all month end entries (Depriciation & Expenses)
Assistant Accounts Manager, Galleria Designs. From February 2016 to Dec 2021 -Monitored the daily cash position and bank updated and filed transfer records properly. Prepared all income and expenditure transactions, ensuring all vouchers were prepared without error and delay, and all payments were issued on time. Formulated internal workflow, procedure and documentation for the specific business units daily accounting and finance operations. Assisted in analysing financial statements and other related reports