Master of Business Administrations - major Finance and banking
GENESIS SOLUTIONS (PVT.) LTD. (JAN 2014 – PERFORMING), MANAGER ACCOUNTS\r\nORGANIZATION TYPE: MILITERY INTELLIGANCE FORCES AND COMMERCIAL PROJECTS MANUFACTURER.\r\n\r\n:: To handle Accounts Department for smooth running of system.\r\n:: Budgeting, Costing and forecasting with periodical controls, Management reporting and ensuring compliance.\r\n:: Funds management.\r\n:: System development for effective operations.\r\n:: Monitoring invoicing, Payment and recovery.\r\n:: Make LC, Contracts and advance imports\r\n:: Liaison with banks and handle all banking matters.\r\n:: Handle SECP matters as per corporate governance rules.\r\n:: Finalize and submit Tax Returns Monthly & Annually.\r\n:: Preparation and submission of different reporting as per Management including Financials Analysis and statutory requirements.\r\n\r\nYUSRA TRADE INTERNATIONAL (JULY 2012 – DEC 2013), ASSISTANT MANAGER ACCOUNTS / FINANCE\r\nORGANIZATION TYPE: IMPORTER EXPORTER AND PLASTIC GOODS MANUFACTURER.\r\n\r\n:: Finalize payroll.\r\n:: Monitoring Invoicing, Payments and Recovery. \r\n:: Reconcile local & foreign currency bank accounts.\r\n:: Prepare Adjusted Trial Balance for Finalize Accounts.\r\n:: Monitoring Petty Cash and reconciliations.\r\n:: Budgeting and forecasting with periodical controls, Management reporting and ensuring compliance.\r\n:: Control Fixed Assets Management System.\r\n:: Finalize and submit Tax Returns Monthly & Annually.\r\n:: Monitor and Reconcile inventory statement of all stores.\r\n:: Handle Insurance matters of General Health and Fixed Assets.\r\n:: Cost cut and control expenditures.\r\n:: Check LC, Contracts.\r\n:: Assist to Internal Auditor.\r\n:: Preparation of Financials as per Management and statutory requirements.\r\n:: Liaison with banks and handle all banking matters\r\n\r\nNATIONAL BANK OF PAKISTAN (MAY-JUNE 2012), AS AN INTERNEE \r\n\r\n:: Learn all banking Procedures\r\n\r\n\r\nPLATINUM PHARMACEUTICALS (NOV 2007 – JAN 2012), FINANCE OFFICER\r\nORGANIZATION TYPE: DRUGS AND MEDICINE MANUFACTURER. \r\n\r\n:: Reconcile and reporting Local / Foreign Branches expenditures.\r\n:: Reconcile Bank and Petty Cash.\r\n:: Reconcile salaries of Local & Foreign branches.\r\n:: Make cheques.\r\n:: Prepare Tax reports and e – file.\r\n:: Record and reconcile the payments.\r\n:: Check and reconcile LC, Contracts and lease with bank credit facilities.\r\n:: Reconcile local & foreign bank accounts.\r\n:: Record and reconcile called up amounts, Tenders and other security deposits.\r\n:: Report and control Fixed Assets Management System.\r\n:: Prepare vehicles loan agreements.\r\n:: Prepare stock statement of all stores.\r\n:: Prepare budgets and Variance Analysis Reports.\r\n:: Reconcile payroll and undertaking calculations.\r\n:: Assist to authorize person for Financial & Reporting procedures. \r\n:: Handle Insurance matters of General Health and Fixed Assets.
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