
Muhammad Hassam
Accountant
Competenze

Consulta i miei servizi

Portfolio
Esperienza lavorativa
Sr.Accountant
Accounting • Freelance
Dec 2024 - Present • 1 yr 10 mos
Manage over 34 BioPed Clinic (Canada) accounts on QuickBooks Online Desktop. File taxes on the government tax portal (HST/GST/PST). Maintain daily inventory records, ensuring their accuracy. Oversee accounts payable and accounts receivable for all clinics. Perform monthly bank and credit card reconciliations. Accurately record all tax entries in QuickBooks Online. Payroll for employees is processed and maintained monthly. Process and manage monthly employee payroll using QuickBooks Online.
Accountant
Text2MD • Full time
Jan 2024 - Nov 2024 • 10 mos
Keep accurate records by filing all bills every day. Keep accounts payable balance at 5.6 million Pakistani rupees. Make sure to enter the transactions into the enterprise version of Quick-books and keep track of the daily petty cash. Make that Quick-books Enterprise has all tax entries updated correctly. Maintain daily inventory records, making sure they are accurate. To keep track of impending payments, create supplier statements every day. Payroll for employees is processed and maintained monthly. Every month, determine and update the depreciation of all fixed assets. Enter account information to record different kinds of financial transactions.
Account Manager
GarageExperts • Full time
Jan 2022 - Jan 2024 • 2 yrs
Maintain an accounts receivable balance of 2.7 million AED. Manage an accounts payable balance of 700,000 AED. Handle daily petty cash transactions and update records on QuickBooks Online. Record all VAT entries accurately in QuickBooks. Ensure all bills are filed and documented on a daily basis. Submit VAT returns on the government portal every three months. Oversee and maintain a daily inventory worth 120,000 AED Generate customer invoices on a daily basis. Perform bank reconciliations weekly. Update and manage the depreciation of fixed assets on a monthly basis. Ensure accuracy in all financial entries to support accurate financial statements. Process and maintain employee payroll on a monthly basis