Bio
Experience
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Rawbank
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Kindu, Democratic Republic of Congo
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Adjoint Administrator
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Jan 2014 - Present
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Kindu, Democratic Republic of Congo
• Reporting & Preparation of daily reconciliation of suspense accounts.• Reporting & Preparation of daily reconciliation of ATMs.• Reporting & Preparation of existing stocks of cheques books etc. • Verification of cash and centralization of cash reports on daily basis.• Validation of transaction relating to cash/operations/accounts/treasury.• Reporting & Preparation of weekly & monthly MIS report.• Coordination of with treasury dept to authorize for making transfer of funds.• Preparation of attendance report and sending to HR.• Maintenance of vehicles and generators.• Opening and closing of bank.• Security measures and control of security presence and police
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Manager Accounts
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Sep 2012 - Sep 2013
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Lahore
• Reporting & Preparation of financial statements and presenting before the management. • Collect fee from students, revenue from hospital deposit, maintain and update all financial transactions.• Keep a record of the payroll accounts and consider a worker's total working hours, deductions and increments to compute the total amount of salary payable to the workers of the organization.• Maintain petty cash book and authorize payments done by cash by making entries under appropriate account head of the book. • Receive invoices or bills from vendors, get them sanctioned and arrange for payments through checks or bank transfers.• Collect the necessary information and the source documents related to the financial transactions from the concerned people in the organization to update the financial statements daily.• Maintaining & reporting of day to day transactions of College & Teaching Hospital.• Monthly reconciliation of Banks.
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Management Resorts
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Lahore
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Manager Finance & Consultancy
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Dec 2011 - Jul 2012
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Lahore
• Providing financial advisory services to various clients for obtaining financing facilities from banks.• Preparation and finalization of feasibilities and financial projections of various projects.• Maintaining & reporting of day to day transaction of the firm’s accounting.• Also maintaining & reporting of day to day transaction of subsidiary company’s (security services agency) accounting.
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Assistant Manager Audit & Consultancy
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Feb 2001 - Dec 2011
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Lahore
• Internal, external, cost and continuous audit assignments of various types of clients and their reporting.• Preparation and finalization of feasibilities and financial projections. • Providing accounting and financial services to the clients of diversified nature. • Providing online accounting and financial services to the clients in USA & UK on Quick Books. • Preparation and e-filing of tax statements on monthly, quarterly and annual basis. • Provide consultancy to the customers of Bahria Town for financing from banks.• Consulting companies in their matter of incorporation and various filling of arrangements with Securities & Exchange Commission of Pakistan.• Conducting stock inspections of various textiles, foods, pharmaceuticals, chemicals and cement industries, etc. on behalf of banks and for other internal and external audit purposes.• Conducting search of file with Registrar of Companies for banks and other financial institutions
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Intern
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Dec 2000 - Feb 2011
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Lahore
• Worked on vouchers processing system. • Worked on vouchers processing system.• Worked on vouchers processing system.• Handling of filing system on daily basis to keep record update.
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Education
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University of the Punjab, Lahore
Bachelor of Commerce (B.Com.), Commerce
Suggested Services
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Industry Focus. “Banking”
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References
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