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To reach the height of profession by working hard, strive for excellence and betterment of organization.

Work History

Jan 20132015

Assistant supervisor online sale 

Nishat Linen Pvt Ltd Lahore.
  • Stock handles on daily basis.
  • Enter invoice in oracle or AX Dynamics daily basis online sale.
  • Customers Care in online Dept.
  • Maintain sale record and forward to account department.
  • Coordination with DHL against the shipment and online airway bill of foreign shipment.
  • Coordination with TCS receiving cheque and reconciliation file with COD (Cash on Delivery) shipment on fortnightly basis.
  • Coordination with MCB as sending file to bank for deduction amount against the credit and debit card transaction and reconciliation sale with MCB cheque received.
  • Maintain record of MCB online transaction of debit and credit card holder and also reconciliation file with online sale and received wire from MCB.
  • Report Present to Brand Manager in graph form.
Mar 2006Jun 2007

 Assistant Accountant 

Deltex Courier Service Multan 
  • Maintain the account of cash received against the shipment

        Fortnight and over land.

  • Maintain the chqeques detailed with sale.


Jul 20082015


Pakistan Institute of Public Finance Accountant.

1st Semester.

  • Financial Accounting
  • Cost Account
  • Business math state & Economics 

2nd Semester.

  • Financial Accounting
  • performance Measurement
  • Business Communication
  • Business Law & Taxation(Attempt)

3rd Semester.

  • Financial Reporting (IFRS) Attempt
  • Management
  • Auditing (Attempt)

Mar 2006Nov 2008

 B. Com

Punjab University of Lahore

Bachelor in commerce. 

Aug 2006

      D. Com

Punjab University of Lahore

Diploma in Commerce

Aug 2004


Board of Intermediate and Secondary Education, Multan.

In science


Computer Competency Practical Training (CCPT) Skan

Microsoft Excel Microsoft Word Microsoft Power Point

  • Basic Formulas
  • Basic Function
  • Merged file between sheet
  • Graph Report
Peachtree Accounting and Finance

IT Base Account Book Keeping