
MUHAMMAD TOFEEQ
ACCOUNTANT & INTERNAL AUDITOR Maintain and reconcile all accounts related to receivables, payables and banks.
Check and supervised book keeping records.
Check and physical verified documents control system.
Prepare reconciliation of all accounts.
Any other duties assigned by the Manager from time to time.
To reconcile and maintain all accounts of creditors (Payables) and debtors (Receivables)
To Reconcile Bank’s Accounts and Prepare Bank Reconciliation Statement and Reporting to Finance Manager.
Check and verifying the Salaries and Wages of all Departments and forward to Finance Manager.
Check and verifying the Purchase Statements and Reporting to Finance Manager.
User of MIS Oracle and SAP.
Any other duties assigned by the Manager from time to time.
I also acting as a Cash Officer of the firm and maintain and control all activities related to receipts and payment of cash.
To reconcile all transactions related to cash sales.
To reconcile and maintain receivable accounts related to cash.
User of MIS Oracle and Sap.
Maintain daily expense sheet and reporting to Finance Manager.
Check and verifying all Marketing Expenses which is including Warehouses Expenses and Field Force Expenses.
Check & Prepare Journal Vouchers of Salary & Wages of all Departments and Forward to Finance Officer.
Check & Verifying Expense Sheet of All Warehouses and Marketing Field Force Expenses Sheet and Forward to Finance Officer.
Handling Manual Record in Manual Ledgers and I also Perform Manual Book Keeping.
Last Resume Update | May 23, 2019 |
Address | GUJRANWALA, Pakistan |
[email protected] | |
Phone Number | +923014713101 |
Website | https://my.indeed.com/resume |