Mohsin Malik
Accounts Officer at Rehman Habib Consultants Pvt. Ltd- Claim this Profile
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Experience
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Rehman Habib Consultants Pvt. Ltd
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Pakistan
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Civil Engineering
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1 - 100 Employee
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Accounts Officer
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Oct 2022 - Present
Working for NESPAK-BARQAAB-RHC Joint Venture for the Preparation of Thar Canal Project, Sindh. Monthly Invoicing to Client (WAPDA), consisting of Remuneration Cost and Direct Cost. Supporting Accounts Department of Water & Agriculture Division of NESPAK due to labor shortage. Performing all other accounts related tasks as and when required. Working for NESPAK-BARQAAB-RHC Joint Venture for the Preparation of Thar Canal Project, Sindh. Monthly Invoicing to Client (WAPDA), consisting of Remuneration Cost and Direct Cost. Supporting Accounts Department of Water & Agriculture Division of NESPAK due to labor shortage. Performing all other accounts related tasks as and when required.
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Indus Home Ltd.
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Textile Manufacturing
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1 - 100 Employee
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Assistant Manager
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Oct 2021 - May 2022
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Landell Mills
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Ireland
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Business Consulting and Services
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100 - 200 Employee
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Finance Manager
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May 2019 - Nov 2021
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National Engineering Services Pakistan (Pvt) Limited (NESPAK)
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Pakistan
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Construction
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700 & Above Employee
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Jul 2013 - Nov 2021
Prepared Joint Venture Accounts of Jalalpur Irrigation Project funded by Asian Development Bank. Single handedly managed the accounts, prepared monthly budget reports, bank reconciliation statements, Journal Ledgers and Vouchers. Submitted Income Tax and Sales Tax as and when required to the authorities. Maintained a petty cash ledger and acted as Office Manager partially.
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Jul 2013 - Nov 2021
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Compsi (Pvt.) Ltd.
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Pakistan
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Computer Hardware
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1 - 100 Employee
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Internal Auditor
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2011 - 2012
My responsibilities include the following: Verification of daily sales and purchase reports. Preparation of Bank Reconciliation Statements. Weekly audit of physical inventory with the database (Dac Easy). Direct interaction and correspondence with the CEO. My responsibilities include the following: Verification of daily sales and purchase reports. Preparation of Bank Reconciliation Statements. Weekly audit of physical inventory with the database (Dac Easy). Direct interaction and correspondence with the CEO.
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Education
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Institute of Business Administration, PU
Post Graduate Diploma in Business Administration, and Masters of Business Administration, Accounting and Finance