Abdullah Muhammad Rafiq

Account Executive at Matech Consulting & Outsourcing
  • Claim this Profile
Contact Information
Location
Karāchi, Sindh, Pakistan, PK

Topline Score

Bio

Generated by
Topline AI

0

/5.0
/ Based on 0 ratings
  • (0)
  • (0)
  • (0)
  • (0)
  • (0)

Filter reviews by:

No reviews to display There are currently no reviews available.

0

/5.0
/ Based on 0 ratings
  • (0)
  • (0)
  • (0)
  • (0)
  • (0)

Filter reviews by:

No reviews to display There are currently no reviews available.
You need to have a working account to view this content. Click here to join now

Experience

    • Pakistan
    • IT Services and IT Consulting
    • 1 - 100 Employee
    • Account Executive
      • Feb 2017 - Present
    • Accounts & Export Officer
      • Jan 2009 - Present

       Reconciliation Details, Payments, Failed Payments  Pay Bills, Issue Payment  A/R Aging Detail & A/P Aging Detail  Checking Outstanding Statement  Employees and Payroll  Cash Payment  Vouchers (Computer / Manual)  Cheque & Bank Payments  Cash reconciliation and other tasks  Bank Reconciliation  Journal Voucher  Export Documentation  Follow up Tracking of Exports  Follow up the procedure of Remittance  Bank Reconciliation  Cash & Bank Payment  Employees and Payroll  Daily Gate Checking compare with System, and if problem exists then rectifying with concern persons  Party Reconciliation  Trail Balance Finalization Show less

    • Pakistan
    • Retail Apparel and Fashion
    • 300 - 400 Employee
    • Account Officer
      • Jun 2006 - Jun 2008

      Responsibilities  Reconciliation Details, Payments, Failed Payments  Pay Bills, Issue Payment  A/R Aging Detail & A/P Aging Detail  Checking Outstanding Statement  Employees and Payroll  Cash Payment  Vouchers (Computer / Manual)  Cheque & Bank Payments  Cash reconciliation and other tasks  Bank Reconciliation  Journal Voucher Responsibilities  Reconciliation Details, Payments, Failed Payments  Pay Bills, Issue Payment  A/R Aging Detail & A/P Aging Detail  Checking Outstanding Statement  Employees and Payroll  Cash Payment  Vouchers (Computer / Manual)  Cheque & Bank Payments  Cash reconciliation and other tasks  Bank Reconciliation  Journal Voucher

Education

  • Karachi University
    Bachelor of Commerce - BCom, Accounting and Finance
    2006 - 2008

Community

You need to have a working account to view this content. Click here to join now