Shahzaib

Shahzaib

$8/hr
Accounts | Import/Export | Reconciliations | Bookkeeping | Photoshop & Illustrator
Reply rate:
14.29%
Availability:
Hourly ($/hour)
Location:
Peshawar, Pakistan, Pakistan
Experience:
11 years
CAREER OBJECTIVE: Peshawar, 25000 -- PROFESSIONAL SUMMARY: Performs a variety of professional level accounting duties involved in preparing, maintaining, analyzing, verifying, and reconciling complex financial transactions, statements, records, and reports and also maintain software system in which maintain cash, bank, & Journal books of daily transactions whereas maintenance and manipulation of monthly reports of wages expenses, workers advance from salaries. EXPERIENCE SKILLS • Full Cycle Accounting. • Bank Reconciliations. • Accounts Reconciliations. • ERP Software entries. • Accounting/Bookkeeping. • Financial Account management. • Quickbook Work. • Full Command on Weboc/PSW. • To excel in a challenging environment, where my personal growth is fostered, opportunities are provided for continuous learning, and to work with a commitment to achieve the goals and objectives of the organization and to bring in success and enhance the reputation of the organization. Submission of GD (Import/Export). • Proper/excellent filling. • Computer Operating. • Expertise on MS Office. • Typing Speed (English/Urdu) • Graphic Design (Full Comd) o Adobe Photoshop o Adobe Illustrator Export/Import Manager (06/2018 – Current) M/S ZRK GROUP OF INDUSTRIES (PVT) LTD – PESHAWAR, PAKISTAN. • Responsible and look after of whole Import/Export procedures/Processing with excellent documentation Skills & Filling. • Full command on Weboc/PSW system & submission of (GD’s). • Prepare/maintain Form EE data as per requirement of State Bank of Pakistan. • Coordinate with the logistics team to arrange transportation and track shipments to ensure on-time delivery and resolve any issues or delays. • Request for approval of DTRE/EFS system and maintain/reconcile consumption statement for management as well as customs audit. • Manage the Import/Export process by coordinating with suppliers, freight forwarders, customs brokers, and other relevant parties to ensure timely and accurate delivery of goods. • Ensure compliance with Import/Export laws and regulations by staying updated on changes in customs requirements and assisting with customs clearance procedures. • Assist in managing inventory levels by monitoring stock levels, coordinating with suppliers for timely deliveries, and resolving any discrepancies. • Coordinate with finance and accounting departments to ensure accurate and timely payment of Import/Export duties, taxes, freight charges and so forth. Accounts Management (04/2019 – 12/2024) M/S Hasmann International FZCO – Dubai, UAE (Remotely Work) • Reconciliation of Bank Statements and prepare monthly/annual reports. • Streamlined bookkeeping procedures to increase efficiency and productivity. • Reconcile accounts and review expense data, net worth, and assets. • Using SAP software for daily transactions and posting of Cash Book, Bank Book & Journal entries of Import/Export/Purchase/Sales. • Preparing and analyzing of Income STMT/ Cash Flow STMT/ Balance Sheet/ Trial Balance and finally Financial STMT. ADDITIONAL INFORMATION • Computer Hardware. • Computer Typing. • NEBOSH (Practical) • IOSH (Management) • IOSH (Working) CERTIFICATIONS • Computer Typing. • Computer Hardware. LANGUAGES: • Hindko (First Language) • Urdu: (Advance) • English: (Advance). • Pashto: (Advance). ACCOUNTANT (04/2013 – 05/2018) M/S DAUDSONS INDUSTRIES (PVT) LTD – PESHAWAR • Using Accounting Software ERF for daily transactions and posting of Cash Book, Bank Book & Journal Vouchers and also the reconciliations of ledger heads of accounts. • Accurately performed daily cash functions, including A/P and A/R tracking, budgeting, payroll transactions, expense management, and various reconciliations. • Compiling, analyzing, and assisting in preparing Trial Balance, Financial Statement, and Balance Sheet. • Bank Dealing and Computer operating. • E-filling of Sales Tax, Income Tax Return payment challan, etc. • Complete detail reviews of accounts and book-keeping records to verify compliance with standards. • Reconciled bank accounts and credit card statements to address financial expenditures. • Produced monthly and year-end closing statements, financial documents and invoices. • Reconcile monthly bank statements and resolved discrepancies. • Preparing Payroll manually as well as computerized. • Full Knowledge of Import/Export procedures with excellent documentation skills includes Letter of Credit & FTT. EDUCATION 2019 Master of Business Administration – Finance (MBA 3.5 years) UNIVERSITY OF PESHAWAR – PAKISTAN 2013 Bachelor Of Commerce (B. Com Accounts/Finance) CECOS UNIVERSITY OF IT & EMERGING SCIENCES PESHAWAR – PAKISTAN 2013 DIPLOMA IN INFORMATION TECHNOLOGY (DIT) CECOS DATA INSTITUTE PESHAWAR – PAKISTAN 2010 HSSC ARTS G.H.S SCHOOL NO 3 PESHAWAR CITY – PAKISTAN 2008 SSC ARTS G.HS SCHOOL NO 3 PESHAWAR CITY – PAKISTAN
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