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yasirkhan564

Yasir Khan

@yasirkhan564

Accountant Bookkeeper

Pakistan
Englisch, Urdu
Einige Informationen werden in englischer Sprache angezeigt.
Über mich
I’m Yasir Khan, a highly skilled and detail-oriented accountant with 5 years of experience in providing comprehensive accounting services for businesses and individuals. I specialize in: Bookkeeping & Accounting: Organizing your financial records with precision and accuracy. Financial Reporting: Creating detailed and insightful financial statements to help you make informed decisions. Tax Preparation & Planning: Ensuring compliance with tax regulations while maximizing your tax benefits. Payroll Services: Managing payroll for small and medium businesses, ensuring timely... Mehr lesen

Kompetenzen

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yasirkhan564
Yasir Khan
offline • 

Meine Dienstleistungen

Buchführung
I will setup, catch up, clean up, reconciliation and bookkeeping
Buchführung
I will excel expert, data entry, dashboard, automation, reporting

Arbeitserfahrung

Senior Executive Accounts

Chase Value

Jan 2021 - Present5 yrs 4 mos

Prepare monthly Income Statements, Balance Sheets, and comparative financial reports to support management decisions. Record and maintain monthly accounting entries, ensuring accuracy and completeness. Improve Trial Balance accuracy by resolving discrepancies and streamlining reporting processes. Manage full bookkeeping functions, including transaction posting, account balancing, and ledger maintenance. Maintain accurate bank books and perform timely monthly bank reconciliations. Conduct vendor reconciliations, resolve discrepancies, and ensure smooth and timely payment processes. Manage vendor debit balances and ensure prompt resolution of outstanding issues. Support day-to-day accounting operations across multiple financial functions. Participate in year-end closing, audit preparation, and financial statement consolidation. Implement and monitor internal controls to maintain financial integrity. Train and guide junior staff to enhance team capability. Reconcile branch cash books with system balances and investigate variances. Monitor daily fund position and prepare weekly liquidity reports for management.