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CURRICULAM VITAE
MUKHTAR ABBAS HAIDER SAIBAN-E-ALI ALI NEAR PARCO PIPELINE THATHA GURMANI ROAD SANAWAN
TEHSIL KOT ADDU DISTT. MUZAFFARGARH.
PHONE NO. 0697-450410 0697-490187
E-MAIL ADDRESS: - mukhtargi@ hotmail.com
Father Name: Ghulam Hussain Bhatti.
Date of birth: 10-01-1975
NIC.No: 317-93-331588.
Domicile: Muzaffargarh (Punjab)
 Position in a dynamic and progressive organization, which provide opportunities for Career development.
QUALIFICATIONS:
 Matric From Board Of Sec. Education D.G. Khan in 1993.
 Diploma In Commerce Form Punjab Board Of Technical Education Lahore in 1995.
 Graduation From University Of The Punjab Lahore in 1997
COMMUNICATION SKILLS:
 Fluency in written and spoken English.
 Fluency in written and spoken Urdu.
 Fluency in written and spoken Saraike.
OTHER SKILLS:
 MS WORD
 MS EXCEL
 MS POWER POINT
 MS OUT LOOK
WORKING EXPERIENCE
 Working With Pak Arab Refinery Ltd. (PARCO) Since
25-08-1996 in Finance Deptt. At Mahmood Kot Distt. Muzaffargarh.
>
S.NO NAME OF ORGANIZATIONDEPTT. FROMTO POSITION
1 PAK ARAB REFINERY LTD.FINANCE 25-08-96 15-08-99 On daily wage basis
2 PAK ARAB REFINERY LTD FINANCE 16-08-99 03-09-99 MGT.TRAINEE
3 PAK ARAB REFINERY LTD SHIPPING 04-09-99 16-08-01 MGT.TRAINEE
4 PAK ARAB REFINERY LTD SHIPPING 17-08-01 DATE G.A,II
JOB DESCRIPTION
a) Budgetary Control
 Preparation of annual and monthly budgetary control by comparing the approved budget with the Indents/ Requisitions raised by various functionaries.
Payables
 Responsible to maintain multiple accounts like payment to supplier, contractor and cash benefits to refinery staff.
c) Sales Invoice
 Preparation of sales invoice on each fortnight basis as per the off-take by Oil Marketing Companies (OMC’s), LPG companies and direct sale to PARCO’s own Dealers and Consumer.
d) Cash and Banking.
 Responsible for handling and maintaining the banks and cash position of the Refinery. Disbursement of payment through Voucher/ Cheque duly verified by Payable Section.
 Maintaining of Imprest Account.
 Preparation of Bank Reconciliation Statement and compilation of Daily Funds and Cash Report. Preparation of Periodic Fund Flow forecast for reimbursements from Corporate Headquarters.
 Separately account for of Premium Plus Account (PPA).
e) Taxes
 Reconciliation of deposits the taxes into the Government Treasury through Account Current Ledger (ACL).
 Handling of Sales Tax matters and submission of its return on monthly basis.
 Properly account for of with Holding Tax
Miscellaneous
 Product wise and company wise off-take through Gantry & Pipeline and Leiveable position on daily, weekly, fortnightly and monthly basis.
 Product wise RT-1 statement contains aggregate quantity of sale/ production on monthly basis that required submission to the Excise office.
 Ascertaining the quantity in each tank of Crude as well as Refined product by preparing Appendix “C†through Dip Certificate i.e. tank level.
 Reconciliation of stock by preparing of monthly stock report of Crude as well as Refined products.
 Maintaining the production report.
 Maintaining of Tank Stock Loss Report (TSLR).
 Supervising shipment activities, sales tax invoices & C.E.D. of OMC’s, LPG companies and PARCO’s Dealers and Consumer.
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Refrence
Mian Khalid Ahmed Gurmani Land Lord Of Thatha Gurmani Malik jawad Kamran Khar MPA PP-255
Address
SAIBAN-E-ALI ALI NEAR PARCO PIPELINE THATHA GURMANI ROAD SANAWAN TEHSIL KOT ADDU DISTT. MUZAFFARGARH. PHONE NO. 0697-450410 0697-490187
My friend's websites:
www.magsi.s5.com
send email:
Mukhtar Abbas Haider
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