Maria Asaad

Accounting Associate at Farmbro Inc.
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Contact Information
Location
Mississauga, Ontario, Canada, CA
Languages
  • Arabic Native or bilingual proficiency
  • English Native or bilingual proficiency

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Credentials

  • De-escalation and Self-care/ Emotional intelligence
    OTEC - Workforce Innovation
    Aug, 2023
    - Sep, 2024
  • Pearson Ready to Work Program
    ACCES Employment
    Aug, 2023
    - Sep, 2024
  • First Aid and CPR
    Canadian Red Cross
    Aug, 2023
    - Sep, 2024

Experience

    • Canada
    • Automotive
    • 1 - 100 Employee
    • Accounting Associate
      • Sep 2023 - Present

      Participated in the development and implementation of financial procedures and controls tailored to the unique needs of the work vehicle solutions division. ▪ Supported the tracking of inventory related to fitting materials and equipment, aiding in cost control and efficient project execution. ▪ Assisted in payroll processing, ensuring accurate calculation of wages, benefits, and deductions for employees working on fitting projects. Contributed to the month-end and year-end closing processes by preparing financial data, reconciliations, and assisting with audit requirements. ▪ Managed administrative tasks related to financial documentation, such as filing, organizing, and archiving records for future reference. ▪ Assisted in the development and maintenance of financial models and forecasts for the work vehicle solutions division, supporting strategic planning. ▪ Provided general administrative support to the accounting and finance department, including data entry, record maintenance, and report generation. Show less

    • Australia
    • Accounting
    • Bookkeeper
      • Dec 2021 - Aug 2023

      Assist with the year-end process, which includes preparing financial statements and dealing with our external chartered professional accounting firm, among other things. Prepare bank deposits, general ledger postings, and statements Monitor office expenses and tally and enter cash receipts. Keep track of bank account balances. Develop monthly financial statements, including cash flow, profit and loss statements, and balance sheets. Prepare weekly and monthly financial reports that are accurate and timely. Resolve issues with accounts payable and receivable. Confidentiality of all data and information Show less

    • United States
    • Administrative Assistant
      • Jan 2021 - Nov 2021

      Ensure an ideal level of customer service and professionalism by providing a high degree of administrative support. Provide accurate, organized, and effective administrative support by managing various calendars, scheduling, and organizing meetings. Organize all spending, including receipts. Maintaining a project diary, writing project progress records and logs, and ensuring the office is organized and kept to the highest possible standards Assuring the organization and upkeep of construction records Show less

    • Canada
    • Wholesale
    • 700 & Above Employee
    • Assistant Cashier/Cashier
      • Sep 2020 - Dec 2020

      Provide excellent customer service by assisting customers and addressing issues refunding and monitoring cash drawer amounts Handle cash, credit, or check transactions with customers Maintain a neat and organized checkout area Scan goods and collect payments Oversee coverage of registers and store supply usage Perform opening procedures Provide excellent customer service by assisting customers and addressing issues refunding and monitoring cash drawer amounts Handle cash, credit, or check transactions with customers Maintain a neat and organized checkout area Scan goods and collect payments Oversee coverage of registers and store supply usage Perform opening procedures

    • Canada
    • Food and Beverage Services
    • 1 - 100 Employee
    • Cashier
      • Dec 2019 - Sep 2020

      Receive and processed payment Resolve customer complaints, guide them, and provide relevant information Bag items carefully Greet customers and directed them to the correct in-store section Count money in cash drawers at the beginning and end of shifts to ensure that amounts are correct and that there is adequate change Monitor cash limits Balance the cash drawer at the end of my shift Receive products Maintain inventory levels Place purchase orders Receive and processed payment Resolve customer complaints, guide them, and provide relevant information Bag items carefully Greet customers and directed them to the correct in-store section Count money in cash drawers at the beginning and end of shifts to ensure that amounts are correct and that there is adequate change Monitor cash limits Balance the cash drawer at the end of my shift Receive products Maintain inventory levels Place purchase orders

Education

  • Sheridan College
    Bachelor of Business Administration - BBA, Accounting
    2021 - 2023
  • Convoy International Secondary Academy
    Ontario Secondary School Diploma
    2020 - 2021
  • Ain Shams University
    Bachelor of Commerce - BCom, Accounting
    2018 - 2019
  • Suez Canal University
    Bachelor of Commerce - BCom, Accounting
    2017 - 2018

Community

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