1. ABDUL REHMAN TASHFEEN BUTT
S/O, Amin Saddiq Butt,
House # 193, Street#7, CELL: 0345-9087931
Bahria Town Phase III, Islamabad. Email: tashfeen_butt@hotmail.com
Accounts /Finance / Admin & HR
Accounts / Commercial and consumer Banking / Corporate and Micro Finance / Administrative Affairs /
Treasury Management & Forecast /Cash Management
OBJECTIVE
To secure employment within a reputable organization where I can use my skills, knowledge & experience and
play an Integral part in organization’s growth.
WORK EXPERIENCE
Assistant Office Manager Target Systems Islamabad
29/11/13 to date
Responsibilities
Admin & Accounts office Gul e Arzu Development Organization Islamabad
01/01/13 to 28/11/13
Responsibilities
• Maintaining Leave record & attendance.
• HR filing and HR data base.
• Recruitment of resources.
• Accounts and Finance Management.
• Monthly budget management and forecast.
• Cash requirement and forecast.
• Salaries and Tax management.
• Payment and petty cash management.
• Issuance of memo’s & letters.
• Office Security & maintenance.
• Meetings and training workshops arrangement.
• Purchase of office equipment and supplies.
• Management Representative for ISO 9001:2008.
• Travelling and accommodation arrangement.
• Coordination with external Govt. & non Govt. bodies.
• Contract management (internal & external).
2. Assistant Accountant Handicap International Islamabad
6/06/11 To 17/08/12
Responsibilities
Junior Officer NIB Bank Peshawar
27/05/08 To 30/04/11
Responsibilities
Relationship Officer MCB Bank Peshawar
01/01/06 To 26/05/08
Responsibilities
Assistant Accounts & Data Base GOL Brain Internet PVT Peshawar
01/11/04 To 20/12/05
• Sales & marketing.
• Providing Sales & Services to the Branch customers.
• MIS Management and reporting.
• Coordinating with other departments in developing business/Cross Sell.
• Gathering comparative product knowledge of competitors.
• Strategic Marketing planning for future.
• Setting Corporate deals for the bank.
• Providing Services to the Branch customers
• Generation of Liability accounts
• MIS Management, processing & reporting.
• Maintaining Cash book of Collection
• Treasury Management & Forecast.
• Cash management (payments, Bills, allowance etc)
• Bank management (payments, salaries, other correspondence)
• Taxes & EOBI (deduction, submission process)
• Accountancy computerized (ALPHAK)
• Accountancy Books of Bank & cash
• Checking of bills regarding processes and procedures(Logistics/admin)
• Services & rental contract management
• Supervised cash for work activity for WASH programme in Kohat & Swat.
• Visited Kohat & Swat to check finance & admin processes & procedures.
• Petty cash Management & Forecast.
• Cash management (payments, Bills, allowance etc)
• Meetings and training workshops arrangement.
• Accountancy Books of Bank & cash
• Services & rental contract management
• Travelling and accommodation arrangement.
• Maintaining ledger and records of vendors.
• Correspondence with chartered accountancy firm regarding Audit and tax.
3. Responsibilities
Assistant Cash & Accounts Officer Safi Enterprises Peshawar
01/ 09/00 To 31/10/04
Responsibilities
EDUCATION
B.COM (Honor) Peshawar University
PERSONAL INFORMATION
Date of Birth: January 23th
, 1979
NIC No: 17301-0463307-1
Domicile: N.W.F.P
SKILLS
Comfortable with Windows 98, 2000, 2000-server, XP, and Seven
Microsoft Office 2010, Microsoft Office XP, Windows Vista and Windows 7
Banking Applications T-24, FINone.
Management Representative for ISO 9001:2008 internal & external audits.
LANGUAGES
Fluent in English, Urdu, Punjabi, Hindko and Pashto
DSL accounts management.
MIS Management and reporting.
Maintaining the data of DSL clients.
To resolve the problems & quires of DSL clients.
Strategic Marketing planning for future
Monthly Billing & collection.
Receiving cash from suppliers and maintaining cash book.
Maintaining ledgers of customers purchasing stock on credit.
Issuance & receiving of returned stocks.
Maintaining ledger of vendors.
Maintaining stock report on average method