We seeking a detail-oriented and experienced Senior Accountant to manage and oversee financial transactions, reporting, and analysis. The ideal candidate will have a strong background in accounting principles and financial management, ensuring accuracy and efficiency in all accounting operations.
Key Responsibilities:
Daily Petty Cash Management: Oversee and reconcile petty cash transactions to ensure accuracy and accountability.
Journal Vouchers & Manual Entry: Prepare and record daily journal vouchers, ensuring correct manual entry of transactions.
Software Journal Entry: Accurately input journal vouchers into the accounting software for financial record-keeping.
Inventory Control & Stock Reporting: Maintain and update inventory records, ensuring proper stock tracking and control.
Accounts Payable & Receivable Management: Reconcile and tally payments with all accounts payable and receivable records.
Invoicing & Billing: Generate invoices for all deals, ensuring accuracy in calculations and timely billing.
Cargo Weight & Billing Management: Monitor and track cargo weight to ensure precise billing for shipments.
Financial Documentation & Compliance: Ensure that all financial records and reports comply with company policies and regulatory requirements.
Monthly based
Karachi Division,Sindh,Pakistan
Karachi Division,Sindh,Pakistan