Yaser Alshammaa, MBA

Accounting Manager at Behavioral Healthcare Services, LLC.
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Contact Information
us****@****om
(386) 825-5501
Location
US
Languages
  • English Professional working proficiency
  • Arabic Native or bilingual proficiency

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Credentials

  • QuickBooks Desktop Certified User
    Intuit
    May, 2022
    - Nov, 2024
  • QuickBooks Pro 2016 Essential Training
    -
    Apr, 2017
    - Nov, 2024
  • Learn QuickBooks Online: The Basics
    Lynda.com
    Oct, 2016
    - Nov, 2024
  • QuickBooks: Setting up a Company File In Depth
    Lynda.com
    Jul, 2016
    - Nov, 2024
  • How to use Lynda.com
    Lynda.com
    Jun, 2016
    - Nov, 2024
  • QuickBooks Desktop: Tips and Tricks
    -

Experience

    • United States
    • Medical Practices
    • 1 - 100 Employee
    • Accounting Manager
      • May 2017 - Present

      • Preparing and/or reviewing appropriate ledger entries and reconciliations • Preparing monthly, quarterly and annual financial statements; assisting with regulatory reporting • Maintaining and reconciling fixed assets schedules • Assist with financial and tax audits • Ensures accurate and timely processing of payroll updates including new hires, terminations, and changes to pay rates and maintains accurate records and reports of payroll transactions • Preparing and/or reviewing appropriate ledger entries and reconciliations • Preparing monthly, quarterly and annual financial statements; assisting with regulatory reporting • Maintaining and reconciling fixed assets schedules • Assist with financial and tax audits • Ensures accurate and timely processing of payroll updates including new hires, terminations, and changes to pay rates and maintains accurate records and reports of payroll transactions

    • United Kingdom
    • Real Estate
    • 1 - 100 Employee
    • Property Accountant
      • Jan 2017 - Present

      Prepare monthly, quarterly and year‐end financial statements/reporting packages  Perform a wide variety of accounting analyses.  Analyze various transactions and identify appropriate accounting treatment  Prepare journal entries and maintain the general ledger  Reconcile monthly bank statements to the general ledger  Record and process accounts payable and accounts receivable  Process cash receipts and prepare bank deposits  Prepare common area maintenance and real estate tax reconciliations  Monitor daily cash balances  Assist with preparation of annual operating budgets  Assist management with special projects and other tasks as assigned

    • United States
    • Banking
    • 700 & Above Employee
    • Teller 3
      • Aug 2015 - May 2017

      Provides consistent world class customer service to internal and external customers which exceeds their expectations Provides consistent world class customer service to internal and external customers which exceeds their expectations

    • United States
    • Automotive
    • 1 - 100 Employee
    • Sales and Leasing Consultant
      • Dec 2014 - Mar 2015

      • Served buyers by understanding their needs and building rapport. • Explained and offered services, including financing and payments. • Served buyers by understanding their needs and building rapport. • Explained and offered services, including financing and payments.

    • Germany
    • Automation Machinery Manufacturing
    • 700 & Above Employee
    • Deputy Chief Accountant/ Project Accountant
      • Jul 1999 - May 2013

      •Reviewed, investigated financial entries, accounts payables and weekly check runs. •Coordinate monthly closing process and reconciliation of general ledger accounts. •Maintain system of accounts and keep records on all company transactions and assets. •Performing daily cash application functions. •Monitor, analyze, and approve transactions for entry into the accounting system. •Prepares bank reconciliations. •Reviewed, investigated financial entries, accounts payables and weekly check runs. •Coordinate monthly closing process and reconciliation of general ledger accounts. •Maintain system of accounts and keep records on all company transactions and assets. •Performing daily cash application functions. •Monitor, analyze, and approve transactions for entry into the accounting system. •Prepares bank reconciliations.

    • Syrian Arab Republic
    • Banking
    • 1 - 100 Employee
    • Head Teller
      • 2005 - 2005

      •Receive checking and savings deposits: verify cash & identify counterfeit currency and endorsements, receive proper identification for cash back and issue receipts of deposit. •Examine checks deposited based on regulation requirements and complete hold notices. •Cash checks: verify endorsement, receive proper identification and ensure validity. •Cross-sell bank products and services. •Awarded for loss prevention. •Receive checking and savings deposits: verify cash & identify counterfeit currency and endorsements, receive proper identification for cash back and issue receipts of deposit. •Examine checks deposited based on regulation requirements and complete hold notices. •Cash checks: verify endorsement, receive proper identification and ensure validity. •Cross-sell bank products and services. •Awarded for loss prevention.

Education

  • NASBA National Association of State Boards of Accountancy
    International Evaluation Services
  • The Arab Academy for Banking and Financial Sciences
    Master of Business Administration (M.B.A.), Banking and Financial Support Services
    2005 - 2008
  • Beirut Arab University
    Bachelor's Degree, Accounting and Finance
    1993 - 1998
  • Quinsigamond Community College
    Accounts Payable/Accounts Receivable Certificate -QuickBooks Pro Certification
    2021 - 2022
  • Mortgage Educators and Compliance
    Mortgage
    2021 - 2021
  • Asian American Civic Association (AACA)
    certificate in, Banking and Financial Support Services
    2015 - 2015

Community

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