nasim zada
Accountant
abu dhabi
Summary of Career
Experience as
08 April 2009
10 January 2012
• To calculate and review of accounts in petty cash and go down expenses.
• To prepare all custom and port of discharge documents.
• To maintain check and balance of import/export gate passes with bill of lading.
• To contact with different freight forwarding agencies for lower cost and provide them the best services with limited time frame.
• To prepare all the documents related to pee tax and service charges for agents to clear their container from inner zone to their final destination.
• To check all petty cash entries details.
• To give report to GM at end of month.
• To deal with stock holder about remaining stock of ready bales for export.
• After loading the container a mail list is sent to customer and makes post entry in sales.
• To check all the liabilities and owner equity at each month
• To make a income statement, balance sheet at each end of month.
Experience as
01 February 2012
31 March 2017
• To check all petty cash entries details.
• To maintain all gate passes of imports/exports containers from foreign countries.
• To prepare all custom and port of discharge documents.
• To maintain check and balance of import/export gate passes with bill of lading.
• To contact with different freight forwarding agencies for lower cost and provide them the best services with limited time frame.
• To prepare all the documents related to pee tax and service charges for agents to clear their container from inner zone to their final destination.
• To review all the accounts in terms of import/export.
• To choose best and less time consuming service of shipping line for ETA in Pakistan.
• To deal with importers after receiving the container in rates if any damage occur in rags
• Post entries of purchase in accounts chart
• To keep all records of expenses of the containers on way from port to its destination.
• To take order list from customer.
• To calculate the expanses after got clearance from higher authorities for mail book container.
• After loading the container a mail list is sent to customer and makes post entry in sales.
• To check all the liabilities and owner equity at each month
• To make a 5 years closing charts experience
Master 01 May 2007
MBA Major in Finance