Muhammad Azeem
Accountant/ Export Officer
Faisalabad
Summary of Career
1. Accounting, Book Keeping etc
2. Preparation of Financial Statement.
3. Finance facilitation documentation.
4. Bank reconciliation statements.
5. Various reports regarding status of bank’s existing facilities.
6. Manage the banks in respect of financial services, markups and loans etc.
7. Export documentation of knitted garment business.
8. Rebate documentation.
9. Various export performance reports for senior management review.
10. Bank documentation for collection, negotiation, realization etc.
Experience as Export Officer
Cosy International (Pvt) Ltd
01 May 2018
06 November 2019
Export documentation for knitted garment business.
Export performance reports for senior management review.
Prepare various reports relating export of the company.
L/C opening documentation.
Bank documentation for collection, negotiation, realization etc.
Prepare the export documentation in any kind of package i-e oracle,visual basic, visual fox pro and MS office as well.
Experience as Accountant
Talha Engineering
01 March 2014
30 April 2018
Account Payable
Account Receivable
GRN & GR
Bank Reconciliation
Petty Cash
Staff Salary Disbursement
General Ledger
Transfer in & Transfer out
Online sale
Compare physical cash Vs system Cash on daily basis
Handling import items and dealng with carry business
Put information in accounting software to maintain accurate ledger
Experience as Assistant Finance Manager
Jaguar (Pvt) Ltd
20 July 2005
28 February 2014
Supervise the export department and other activities.
Manage the banks in respect of financial services, markups and loans etc.
Handle the company's rebate claims.
Manage the Duty Draw Back claims
Prepare the finance facilitation documents of the company.
Maintain and update various reports regarding status of bank’s existing facilities.
Calculate the banking facilities markup.
Handle the cash receipts and payments.
Handling the Parties & maintain the parties accounts.
Responsible for bank payments to creditors against purchase orders and ledger balances.
To prepare the bank reconciliation statements.
Master 30 June 2007
MBA (MarketingBachelor 30 June 2005
B.ComIntermediate 30 June 2001
I.Com