ZAHID ANWAR
ACCA FINALIST
EDUCATION
About Me
Self-motivated, young and dynamic
ACCA finalist have extensive knowledge
in accounting, business and finance. I
priorities my job and do everything it takes
me to get the job done even working more
hours. I am looking forward to work in an
organization to enhance my skills and
grow both personally and professionally.
CONTACT
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-
Islamabad
12-April-1992
SKILLS
Microsoft Excel
Accounting Software
Highly Organized
Committed
Professional & Ethical
LANGUAGES
English:
Urdu:
Pashto:
Moderate
Fluent
Native
INTERESTS
o
o
o
o
History
Movies
Cricket
Swimming
ACCA Finalist
Advance Diploma in Accounting and Business
Foundation Diploma in Accounting and Business
Higher Secondary School Certificate
Secondary School Certificate
WORK EXPERIENCE
Rawal Poultry Feeds Pvt. Ltd
Accounts and Finance Executive
May-2018 to Current
Rawalpindi
Inventory Management: Recording daily raw materials consumption expense and
generating expense vouchers. Maintaining and reconciling stock ledger.
Cash Management: Effectively managing cash account by recording daily cash
receipts and payments, generating cash payment and receipts vouchers. Preparing
daily cash summary report for management. Maintaining cash documents and
reconciling cash ledger.
Sales: Receiving and recording daily sale orders, sending orders to factory for
production. Posting daily sales into accounting software and generating sale
vouchers. Preparing monthly sale quantity report in excel and reconciling with
software that correct sales have been recorded
Factory Expenses: Posting factory expenses and generating expense vouchers on
daily basis, auditing factory expense bills and keeping records of all expenses.
Management Reports: Preparing daily, weekly and monthly material cost report for
senior managers. Analyzing cost of each material used and total cost per bag
produced.
Ledger Reconciliation: Matching and reconciling different ledgers of creditors,
debtors and others contractors and making sure that transaction recorded are correct
and accurate.
Capital Account Transactions: Classifying and recording transaction of new assets
purchased or new constructed. Posting lease transactions of assets acquired and
maintaining lease assets register.
Bank Payments: Recording cheque payments to parties and receipts in bank from
debtors into company accounting software, generating payments and receipts
voucher, making copies of cheques issued and filing vouchers for proper record.
Preparing bank reconciliation statements.
Administration: Performed other administrative tasks as required, for example
documentation and receiving phone calls and resolving queries of different
stakeholders.
PROFESSIONAL KNOWLEDGE
Studied in ACCA these subjects of Business and Finance
Management Accounting
Performance Management
Financial Accounting
Taxation
Corporate & Business Law
Corporate & Financial Reporting
Management & Financial Information
Advance Financial Management