We are looking for a detail-oriented finance professional to join our team and manage a range of accounting functions related to utility bills, operating expenses, payroll, and vendor reconciliations. The successful candidate will have practical experience in accounts or finance, with a strong emphasis on accuracy and timely reporting. This role requires coordination across multiple company locations, including factories, retail outlets, the head office, and warehouses, ensuring that all financial records are accurately maintained and reconciled.
Key Responsibilities:
- Record and maintain utility bills for all company locations such as factories, retail outlets, head office, and warehouses.
- Prepare monthly LC Landed Cost Sheets and complete all related accounting entries.
- Accurately record monthly operating expenses and create provisions as necessary.
- Record and reconcile monthly payroll expenses with precision.
- Verify and record maintenance and transportation bills.
- Follow up on insurance payments and coordinate with insurance companies when required.
- Maintain vendor ledgers and perform purchase reconciliations.
- Ensure timely ledger closing and resolve any vendor discrepancies or knockings.
- Perform additional tasks as assigned by the Team Lead.
Required Qualifications:
- Bachelor’s degree in Accounting, Finance, B.Com, BBA (Finance), or a related field.
- 1 to 2 years of relevant experience in accounts or finance.
Preferred Qualifications and Benefits:
- Part-qualified CA, ACCA, or ICMA certification is considered an advantage.
- Competitive monthly salary ranging from Rs40,000 to Rs50,000.
- Full-time position involving travel to various company locations.
This position presents a valuable opportunity for finance professionals eager to enhance their skills in a dynamic setting with diverse accounting responsibilities.
Monthly based
Karachi Division,Pakistan,Pakistan
Karachi Division,Pakistan,Pakistan