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eisa999

Manzoor

@eisa999

Professional Bookkeeping Services with Accuracy and Reliability

Pakistán
Inglés, Urdu, Hindi
Parte de la información aparece en idioma inglés.
Sobre mí
I am a QuickBooks & Xero Expert offering professional bookkeeping, bank reconciliation, and financial reports. I help businesses maintain accurate records, manage cash flow, and prepare Profit & Loss, Balance Sheet, and financial statements. Services include bookkeeping, accounts payable/receivable, Excel reporting, and data entry. I ensure organized, error-free financials so you can focus on growth. Contact me for reliable and efficient accounting support.... Lee más

Habilidades

e
eisa999
Manzoor
desconectado • 
Tiempo medio de respuesta: 5 horas

Revisa mis servicios

Auditoría de libros
I will do bookkeeping in quickbooks online, cleanup, catch up and reconciliation
Auditoría de libros
I will do quickbooks online bookkeeping and reconciliation specialist

Porfolio

Experiencia laboral

Quickbooks Accountant

Hotel • Tiempo completo

Jan 2023 - Dec 202311 mos

QuickBooks Online Accountant for Hotels I provide specialized QuickBooks Online accounting and bookkeeping services for hotels, ensuring accurate financial records, daily revenue reconciliation, expense tracking, and clear financial reporting. I help hotel owners maintain organized books, control costs, and understand their business performance with confidence.

Qbo / Xero Accountant and Bookkeeper

Hub-Beconnect Company • Tiempo completo

Apr 2021 - Aug 20221 yr 4 mos

As an Accountant, I will be responsible for managing financial records, preparing financial reports and ensuring compliance with accounting procedures and regulations. I will play a critical role in financial analysis and reporting, and will be relied upon to provide guidance to junior accounting staff. Responsibilities: 1.Verify, allocate, post and reconcile accounts payable and receivable 2.Produce error-free accounting reports and present their results 3.Analyse financial information and summarise financial status 4.Spot errors and suggest ways to improve efficiency and spending 5.Review and recommend modifications to accounting systems and procedures 6.Manage accounting assistants and bookkeepers 7.Prepare financial statements and balance sheet