Accountant
Almana Group of Hospitals
Total years of experience :9 years, 10 Months
(Fuel retail - Zoom convenience store - Pronto F&B)
• Fuel inventory reconciliation.
• Perform inventory adjustments (Quantity and price variance).
• Assist retail leadership in reducing “Zero sale” items.
• Working with operations to ensure on-hand inventory and BOM are accurate.
• Reconcile stock count to computer data.
Accountant at Abdulrazzak Mohammed Qanbar Al-Ansari Trading Co. Ltd.
• Preparing of Payroll on a monthly basis.
• Posts customer payments (and collection) by recording cash, checks, and credit card transactions to the
general ledger in the correct accounting period.
• Preparing of journal vouchers.
• Verifies accounts and transactions.
• Receiving and recording of supplier and petty cash invoices on daily basis.
• Reconcile Bank & vendor statements on a monthly basis.
• Preparing of payments by verifying documentation, and requesting disbursements.
• Release cheques or bank transfer to creditors/payees.
• Preparation of different types of financial statements and analysis.
• Worked as a store accountant (Work directly with store department to ensure accuracy of inventory).
• Verifies computer data computations against physical count of stock and adjust errors in computation or
count.
Trainee at Bank AlBilad
Customer services, Personal services, and operation
KFUPM
Employee in charge of Forreign Currency Payment
King Fahd University of Petroleum & Minerals, Dahran From 2009 - 2014 Bachelor of Science (Program: BS in Finance) Major and Department: Finance, Finance & Economics G.P.A: 2.7 of 4