I am Muhammad Saif Ali Khan, a seasoned Accounts Executive and Senior Accounts. My expertise is rooted in UK Accounting, Final Accounts, Company Tax Returns, Self-assessment, Payroll, and meticulous bookkeeping practices.
Presently, I am a dedicated member of the esteemed BBG Professional Chartered Accountant, one of the largest UK Accountancy firms.
My proficiency shines in the preparation and submission of Final Accounts, managing Self Assessment Tax Returns, overseeing payroll systems, and adeptly reconciling both accounts payable and receivable. Moreover, I possess a specialized skill set for guiding companies through the intricacies of incorporation with HMRC, ensuring seamless compliance with regulations. I am well-versed in a spectrum of accounting software, encompassing CCH, Manager I.O, HMRC Portal, and Web Filing, and I exhibit proficiency in MS Excel, Oracle, Sage, and Xero Software.
Being an adaptable and proficient multitasker, I have made substantial contributions to the success of the organizations I have been a part of. My current role as an Accounts Officer at BBG Professionals Chartered Accountant entails the handling of critical financial responsibilities, ensuring the financial well-being and prosperity of the company.
Proficiently handling the preparation and submission of Self Assessment Returns (SA-100).
Expertly managing the application process for companies\' VAT registration with HMRC.
Preparing and Submitting Companies Tax Returns (CT-600)
Skillfully preparing and submitting VAT Returns.
Accurately filing Confirmation Statements through the Web Filling system.
Resolving critical inquiries related to Annual Accounts.
Meticulously reconciling both accounts payable and receivable.
Diligently preparing and submitting annual Final Accounts.
Managing Payroll on a monthly or annual basis within the UK Payroll System.
Expertly liaising with HMRC for submissions and compliance checks.
Precisely calculating and processing staff salaries on a monthly and weekly basis.
Delivering comprehensive reports on the company\'s financial health and liquidity.
Responsible for overseeing company Petty Cash and meticulously documenting expenses.
Thoroughly generating and validating monthly Client Invoices.
Handling Incorporation of companies.
Applying for the companies' VAT registration with HMRC.
Applying for Payroll and UTR for smooth tax compliance.
Managing the Liquidation of companies in compliance with UK laws.
Preparing and Submitting VAT Returns.
Filling the Confirmation Statements into Web Filling.
Resolving Critical Queries regarding Annual Accounts.
Reconciling accounts payable and receivable.
Preparing and submitting the annual Final Accounts.
Managing Monthly or Annually Payroll (UK Payroll System).
Dealing and Checking with HMRC for submissions.
Preparation of staff salaries on a monthly and weekly basis.
Reporting on the company's health and liquidity.
Managing company Petty Cash and Documentation of expenses.
Generating and Verifying Client's Invoices monthly
•Reconciliation of Bank Statements and Internal
•Maintain Petty Cash and Daily Transactions
•Other Accounting Tasks
•Manage Inventories with a day-to-day update of stock in and stock out, also daily working on Work in Process.
•Manage all day-to-day transactions of a business in software or in Microsoft Office.
•Determines payroll requirements; maintains payroll data; prepares and processes monthly payrolls
•Daily Recording of Sales & Purchase Transactions
•Daily Recording of Receipts & Payments Transactions
•Reconciliation Bank Statements
•Other Special Reports Instructed by Management