Total Years of Experience: 2 Years, 2 Months
May 2013
To November 2014
Volunteer Assistant
at CCS Community Services
Location :
Canada
• Designed and organized a schedule for the contact details, camp schedules, and fee payments of camp attendees.
• Developed a filing system for the camp registration forms, invoices, and donor receipts.
• Updated and developed various accounting forms, including: invoices, bank reconciliations, balance sheets, budgets, and payroll.
• Developed a filing system for the camp registration forms, invoices, and donor receipts.
• Updated and developed various accounting forms, including: invoices, bank reconciliations, balance sheets, budgets, and payroll.
September 2010
To January 2011
Assistant to the Project Manager
at The Muslim Philanthropy Digital Library
Location :
Egypt - Cairo
Uploaded many files onto the database for the library and edited the library website.
Corresponded with several relevant and involved contacts to contribute their publications to the library website.
Collected, organized and digitized a large list of contacts interested in the development of the website in terms of publications, funding, and conferences.
Developed and designed an extensive status report and outcome report for the advisory board meeting.
Conducted an extensive research in the field of Muslim philanthropy.
Corresponded with several relevant and involved contacts to contribute their publications to the library website.
Collected, organized and digitized a large list of contacts interested in the development of the website in terms of publications, funding, and conferences.
Developed and designed an extensive status report and outcome report for the advisory board meeting.
Conducted an extensive research in the field of Muslim philanthropy.
July 2009
To August 2009
Trainee
at Ci Capital Holding
Location :
Egypt - Cairo
Compiled, recorded, and reconciled daily transactions for accuracy, and ensuring that the correct IDs and information is entered.
Wrote out several checks and their receipts to the clients.
Participated in the preparation of adjusted month-end financial statements.
Wrote out several checks and their receipts to the clients.
Participated in the preparation of adjusted month-end financial statements.
Share on Facebook
Share on Twitter
Share Via Email