Prepare monthly, quarterly, half-yearly and annual financial statements, which will consist of Financial Position, Income Statement, Changes in Equity, Cash Flow Statement, Notes to the Accounts as per IAS & IFRS.
Prepare Trial Balance, Daily Investment Position, Daily Day Book, and Daily Receipt & Payments.
Reconciliation of customers and banks.
Prepare a monthly budget for operation and monitor & control the cost in accordance with the budget.
Overseeing annual physical inventory.
VAT & TAX Management
Maintain and prepare all kinds of Vouchers, Cash Book, Cheque Register, Bill Register, etc.
Maintain and update VAT & Tax registers, challahs, invoices, Mushak forms, and other documentation.
Ensure compliance with NBR rules, Income Tax Ordinance, and VAT Act 2012.
Verify VAT/TDS deduction on supplier invoices and prepare monthly withholding tax statements.
Assist with external audits related to VAT, Tax, and regulatory issues.
Coordinate with tax authorities and respond to queries and notices when required.
Support internal teams (procurement, sales, accounts) regarding VAT & Tax-related matters.
Keep updated with changes in VAT & Tax laws and communicate them to the team.
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