Yumna
Accountant
DUBAI
Summary of Career
Experience as Tax and Accounts Officer
Just & Right Law Company
15 September 2016
30 January 2017
? Preparing tax liability for clients.
? Advice client on payroll, sales and property tax laws.
? Provide training to client for incorporation of tax laws in their business.
Experience as General Banking Officer
National Bank of Pakistan
15 May 2015
08 April 2016
? Providing guidance to clients about product offered by bank.
? Analyzing daily activity reports.
? Supporting branch manager in developing, implementing and meeting the branch objectives
Experience as Admin Officer cum Accountant
University College of Islamabad
01 February 2017
31 January 2018
? Prepared and posted journal entries to the general ledger account.
? Responsible for Accounts Payable, Accounts Receivable, balancing ledger accounts, End of Month accounting reports
? Submit and reconcile expense reports
? Develop and maintain a filing system
? Responsible for check payments
? Order office supplies and research new deals and suppliers
? Write and distribute email, correspondence memos, letters, faxes and forms
? Assist in the preparation of regularly scheduled reports
? Organize and schedule appointments
? Plan meetings and take detailed minutes
? Update and maintain office policies and procedures
? Maintain contact lists, Book travel arrangements and Provide general support to visitors
? Act as the point of contact for internal and external clients
Experience as Accountant
Joelle Group
03 May 2018
07 October 2018
? Daily sales reconciliation of 5 Branches and update the spreadsheets for the input of daily cash receipts received and credit cards, processing of refunds, and posting of journal entries.
? Handling Accounts Payable and Receivables along with aging, Balance confirmation and subsequent payments, reconciliation with customers and suppliers.
? Process invoices for payment by reviewing invoices for proper authorization, coding and posting invoices into accounts payable system.
? Preparation of cheques and keeping records of cheques.
? Daily control checks that all payments duly clear in the banks.
? Assist in month end closing process by reconciling various general ledger accounts by posting histories, analyzing debit/credit activity to determine outstanding balances in accounts, aging reconciled entries and determining appropriate dates for reconciling items to clear.
? Maintaining Fixed Asset register along with calculation & recording of monthly depreciation, Calculation of monthly amortization of prepayments.
? Recording inter unit transactions & reconciliation.
? Preparing Sales Invoices and Posting in system after Approvals.
? Posting of Purchase Invoices and generating reports.
? Input and output VAT calculations and filing of VAT returns on quarterly basis.
Bachelor 01 March 2017
BSc in Applied Accounting