Senior Accountant
Orchid Real Estate K.S.C.C
Total years of experience :9 years, 8 Months
-Handling all facilities (finance, Murabha, Letter of credit )with banks.
- Prepare journal entry and posting to General leger ledger.
- Maintaining reliable and accurate accounting records, preparing monthly accounts for cost and revenues activities.
- Preparing all financial statements ( by preparing profit and loss accounts and balance sheets Accounts etc., For year-end accounting and taxation reports.
-Compiles and analyzes financial information to prepare entries to accounts, such as general ledger accounts, documenting business transactions.
-Audit contracts, orders, and vouchers, and prepares reports to substantiate individual transactions prior to settlement.
-Reconciles bank accounts posts to general and subsidiary ledgers.
-Enters accounts receivable and payable invoices to the computers system.
-Run checks weekly, sorting and filing backups.
-Preparation of financial ratios reports.
-Recording of fixed assets and effective inventory management.
- handle all of financial tasks related to offshore real estate including corresponding with the buyers, solicitors, real estate agents who are located outside Kuwait, preparing reports, banking transfer requests, follow-up the real estate deals ( Buying, selling, renting )
• Collating, checking and analyzing spreadsheet data.
• Examining company accounts and financial control systems.
• Checking that financial reports and records are accurate and reliable.
• Ensuring that assets are safeguarded.
• Identifying if and where processes are not working as they should, and advising on changes to be made.
• Preparing reports, commentaries and financial statements.
• Undertaking reviews of wages.
• Building new accounting system.
• Prepare journal entry and posting to ledger entry.
• Prepare trail balance, balance sheet.
• Preparing payroll for employees.
• Prepare reports of inventory in stock and sold.
• Recording the out and inflow of merchandising inventory.
• Responsible for selling and edit selling invoices.
Accountant
• Maintain cash book
• Maintain Purchase / Sales accounts.
• Maintain Ledger accounts.
• Maintain accounts Receivable / accounts payable.
• Preparation of inventory report.
• Preparation of bank reconciliation statement.
• Preparation of Profit & loss accounts, Balance sheet.
- financial, managerial and cost Accounting in the English language