Inviter Freelancer til Projektet
Det lader ikke til, du har et aktivt projekt i øjeblikket. Hvorfor opretter du ikke et projekt nu? Det er gratis!Opret et projekt
- N/AJobs udført
- N/AIndenfor Budget
- N/ATil Tiden
Account Creation Data Entry
Find Business Leads
Landing Page Creation
Add products on Shopify Web store.
House of Funartikel
Fashion and Africaartikel
ARTICLE Marketing Managementartikel
SEO (SEARCH ENGINE OPTIMIZATION) & Keywords Analysis, Plann
Web Development, WordPress Customization
Internet Searching & Scraping,Email Searching, Leads
Accounting Quickbooks, Peachtree, Tally,
Facebook Marketing, Instagram Marketing, Promotions, Ads
ASSISTANT ACCOUNTS MANAGERNov 2014
Preparation of Sale Invoices posting of General Vouchers; Bank Payment Vouchers and Cash Payment Vouchers and Cash & Bank Receipt Vouchers and Posting of other General Voucher Adjustments Preparation of Bank Reconciliation Statement Payment of Bill and Ledger verification. And Working on expenses budget, sales& target Achievement budget, overall each department. Preparation financial statements and Record is maintained in Peach-tree Accounting Software.
ACCOUNTANTMar 2014 - Jun 2014 (3 months)
Preparation of Sale Invoices Posting of Cash & Bank Payment Vouchers and Cash & Bank Receipt Vouchers and Posting of other General Voucher Adjustments. Bank Reconciliation Statement working through "ERP Software".
Night AuditorJun 2011 - May 2013 (1 year)
Worked as auditor for verification of Daily Sales Documents ,Ledger Folio, Sales Invoices, Accounts Payable & Receivable, Cash Receipt & Payments. Working on expenses budget, sales & target budget, overall each department budget Worked in Accounts & finance for preparation of sales day book summary, Revenue Budgeted Report. Posting of JV of Inventory, Food cost, Payroll, income Tax, Making JV’s, Payment Vouchers & Receipt Vouchers. “Accounting Record is maintenance by ERP (OPMS) Software “
Accounts & Finance ExecutiveMay 2011 - May 2011 (1 month)
Accounts & Finance Dept where learning finance handling Bank Statement & Reconciliation Examine of ledger and trial balance, handling Customer & Vendor Ledgers, Bank Payment Voucher, and Cash Payment Voucher.
Trainee OfficerJul 2010 - Sep 2010 (2 months)
Stock taking, Prepare Quantitative and Qualitative details of stock, Examine of ledger and trial balance, And working on Financial Statement, Balance sheet & Income statement, and preparation of cash flow statement.
MBS (Master of Business Studies)2010 - 2015 (5 years)
B-Com (Bachelor of Commerce)2008 - 2010 (2 years)
D-Com (Diploma in Commerce)2006 - 2008 (2 years)
PEACHTREE ACCOUNTING SOFTWARE (2010)Softman Computer College
For maintaining Record of Accounting Transactions of whole Business.
Technical & Non-Technical (2018)PBIT eRozgaar Programe
Technical includes, Wordpress, Web Development, HTML, PHP, MySQL & Domain and Hosting. Non-Technical includes, SEO, Search Engine Optimization, Content Writing, Blog Writing, Email Marketing & Social Media Marketing.
Certification (Facebook for SMBs ASSESSMENT) (2018)Facebook Blueprint Elearning Program,
Social Media Marketing, Facebook Marketing & Ads Campaign, Social Account Management. See links to my FB Result: https://www.facebookblueprintcom/student/path/180353#_=_ See links for my Certificate: [login to view URL]
- Facebook forbundet
- Telefon Verificeret