Muhammad Ahsan Ghazi

Muhammad Ahsan Ghazi

Accountancy and Audit

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location of Muhammad Ahsan GhaziKarāchi, Sindh, Pakistan

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  • Timeline

  • About me

    Chief Accountant at Nakshbandi Textile Mills (Pvt) Ltd

  • Education

    • Karachi Public School

      -
      Matriculation Science A
    • Govt. College of Commerce & Economics

      2010 - 2011
      Bachelor of Commerce (B.Com.) Commerce 2 Division
    • Commecs

      2008 - 2009
      Intermediate Commerce A
    • ACCA

      -
      Business/Commerce, General
  • Experience

    • IECnet S.K.S.S.S Chartered Accountants Firm (Formerly:Mansoor Aslam Seraj Saleem Shahid)

      Jan 2013 - Dec 2014
      Accountancy and Audit

      Reporting to Partner, My Responsibilities are/were:>Maintain Accounts of THREE different clients having different sectors.> Cost Accounting of our client that belongs to textile sector and an MNC, American based.> Close supervision of Accounts Maintaining> Making Schedules, summaries of Inventory Valuation.> Inventory ‐‐ Analytical review of the cost of goods manufactured and cost of goods sold.> Inventory ‐‐ Reconciliation of inventory between production house and finance record.> Aging Reports. (debtors and creditors) Show less

    • Nakshbandi Textile Mills (Pvt) Ltd

      Jan 2015 - now
      Chief Accountant

      > Book keeping of Textile Sector & Other Companies having different sectors.> Preparation of Financial Statement half yearly & annually.> Monthly E-Filing of Withholding Statement of Income Tax & Sale Tax Return.> Company analysis, Valuation & Forecasting.> Close supervision of Accounts Maintaining.> Reconciliation of Sale Tax return with ledger.> To reconcile mismatch entries of the Accounts.

    • Nakshbandi Textile Mills (PVT) Limited

      Jan 2015 - Sept 2016
      Accounts Executive

      Reporting to Manager, My Responsibilities are:> Book keeping of Textile Sector&Other Companies having different sectors.> Close supervision of Accounts Maintaining.> Making Schedules, summaries, Payroll Sheets, Petty Cash, Prepare Vendor’s cheques. > Reconciliation of Sale Tax return with ledger.> To reconcile mismatch entries of the Accounts.

  • Licenses & Certifications

    • ACCA,Ethics