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abubakkar180

M. Abu Bakar

@abubakkar180

Certified Bookkeeper

Pakistan
Urdu, English, Punjabi
About me
Hi, I am an accounting professional specializing in UK bookkeeping and compliance for small businesses, sole traders, and accounting firms. With hands-on experience handling outsourced UK client portfolios at an accounting firm, I keep your records accurate and HMRC-ready. Expertise: • Xero & QuickBooks Online (QBO) • Bank, AR & AP reconciliations • HMRC MTD VAT returns & Self-Assessment • Payroll & Excel financial reporting BSAF background, ACCA path. High accuracy, strict confidentiality, and fast communication guaranteed. Let’s get your books sorted! ... Read more

Skills

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abubakkar180
M. Abu Bakar
Offline • 
Average response time: 1 hour

See my services

Bookkeeping
I will do uk bookkeeping and bank reconciliation in xero or quickbooks
Bookkeeping
I will do monthly accounting, cleanup, and financial reporting in xero

Portfolio

Work experience

UHF

Junior Accountant & Bookkeeper (or UK Accounts Associate)

UHF • Full-time

Sep 2025 - Present1 yr

Working within an accounting practice handling outsourced UK client portfolios, including sole traders, contractors, and small businesses. Responsible for routine bookkeeping, reconciliation, and HMRC compliance support across cloud platforms. Key Responsibilities & Achievements: Handled daily bookkeeping, ledger entries, and transaction categorization in Xero and QuickBooks Online (QBO). Performed regular bank, credit card, accounts receivable (AR), and accounts payable (AP) reconciliations, clearing discrepancies. Prepared quarterly HMRC Making Tax Digital (MTD) VAT returns and verified appropriate tax codes across purchase/sales invoices. Assisted with UK Self-Assessment (SA100) income and expense reconciliations for sole traders. Processed routine payroll schedules and generated management reports in Microsoft Excel.

Accounts Assistant

Zahid Jameel and Co • Full-time

May 2024 - Jun 20251 yr 1 mo

Coordinated daily accounting operations using BSAF for data recording and financial entry. Maintained ledgers, verified transactions, and handled vendor/customer accounts. Assisted in preparing monthly and annual reports under CA guidelines. Ensured accuracy, confidentiality, and proper documentation of financial data.