Qasim Ali
Certified Tax Preparer, US, Canada, Cross Border Tax Returns and QBO Xpert
Habilidades
Revisa mis servicios


Experiencia laboral
Vision Village (Pvt) Ltd
Tiempo completo • 4 yrs 10 mos
QuickBooks Accountant
Dec 2023 - Present • 2 yrs 5 mos
• Managed accounts payable (AP), accounts receivable (AR), and bank reconciliations using QuickBooks. • Prepared and analyzed financial statements (profit & loss, balance sheet, cash flow). • Generated budget vs. actual reports for financial planning. • Created customized financial reports to support decision-making. • Ensured compliance with accounting standards and tax regulations. • Audited QuickBooks files to maintain data accuracy.
Tax Accountant
Dec 2023 - Present • 2 yrs 5 mos
• Prepare individual, partnership, and corporate US and Canadian tax returns. • Prepare departure and cross-border tax returns. • Prepare Forms 5471, 1134, 1135, FBARs, and BOI reports for accurate and compliant filings. • Collaborate with clients to maximize Foreign Tax Credit (FTC) and Foreign Earned Income Exclusion (FEIE) benefits. • Develop tax planning strategies for US, Canada, and cross-border clients. • Work as Staff Accountant for clients in the US, Canada, and UAE, ensuring timely deliverables and compliance.
Assistant Director
Lahore Development Authority • Tiempo completo
Oct 2016 - Present • 9 yrs 7 mos
• Develop, track, and present budgets for program goals, ensuring alignment with financial targets and project requirements. • Prepare and manage cost and profit center-wise budget reports. • Review and manage PC-I project documentation, ensuring accurate financial planning and budget estimation. • Oversee contractor payments, including bill checking, auditing, and verification for compliance. • Create and monitor fund allocations to ensure efficient resource utilization. • Prepare financial statements (balance sheets, income statements, expense reports) for cost and profit centers. • Coordinate with auditors for financial audits, providing data, reports, and reconciliations. • Reconcile bank, vendor, and customer accounts to maintain accurate records. • Manage budget tasks in SAP Controlling & Fund Management modules. • Analyze costs and services, providing budget recommendations for operational efficiency. • Monitor budget trends and report variances. • Collaborate with subsidiaries and departments for consistent financial reporting. • Coordinate tax matters with authorities, ensuring timely return submissions and compliance. • Present budget updates and findings to stakeholders for informed decision-making.