Total des années d'expérience: 14 Années, 9 Mois
février 2014
A À présent
Financial Manager
à Hafiz Holding Company
Lieu :
Arabie Saoudite - Jeddah
Responsibilities
• Establish Charts of Accounts for Hafiz Group newly found.
• Manage the Accounting department and evaluated the operation of accounts instruments
• Supervising monthly/ quarterly and annually financial results, consolidated financial statements and summaries, as well as financial management reports
• Monitor, check and post the finance documents in the electronic accounting system of the company.
• Transferred the previous financial data into a newly accounting program to issue the financial statements
• Financial transactions (revenues, wages and salaries payroll, and other expenses)
• Analysis the financial data and issue financial reports (income statement, balance sheet, cash flow and changes in owners’ equity
• Establish Charts of Accounts for Hafiz Group newly found.
• Manage the Accounting department and evaluated the operation of accounts instruments
• Supervising monthly/ quarterly and annually financial results, consolidated financial statements and summaries, as well as financial management reports
• Monitor, check and post the finance documents in the electronic accounting system of the company.
• Transferred the previous financial data into a newly accounting program to issue the financial statements
• Financial transactions (revenues, wages and salaries payroll, and other expenses)
• Analysis the financial data and issue financial reports (income statement, balance sheet, cash flow and changes in owners’ equity
juin 2012
A février 2014
Finance Accountant
à NCB,Saudi National Commercial Bank
Lieu :
Arabie Saoudite - Jeddah
Responsibilities
• Prepare, review and record accounting entries and financial operations.
• Passing journal entries related to financial statement adjustment entries (monthly, quarterly and annually).
• Reviewing and verifying of the quarterly, semi annually and annually financial statements of NCB. Arabic & English for the purpose of publishing in the news and bank website.
• Calculate costs and expenses, setting adjustments and reconciliations and prompt expenses and profits.
• Reviewing and verifying of the quarterly, semi annually and annually financial statements of NCB. Arabic & English for the purpose of publishing in the news and bank website.
• Preparing of SAMA Reports such as: Top 10 customer deposits, customers and NPL and BOD, and send that reports using ERMs.
• Prepare, review and record accounting entries and financial operations.
• Passing journal entries related to financial statement adjustment entries (monthly, quarterly and annually).
• Reviewing and verifying of the quarterly, semi annually and annually financial statements of NCB. Arabic & English for the purpose of publishing in the news and bank website.
• Calculate costs and expenses, setting adjustments and reconciliations and prompt expenses and profits.
• Reviewing and verifying of the quarterly, semi annually and annually financial statements of NCB. Arabic & English for the purpose of publishing in the news and bank website.
• Preparing of SAMA Reports such as: Top 10 customer deposits, customers and NPL and BOD, and send that reports using ERMs.
février 2008
A mars 2009
accountant
à Allied Cooperative Insurance Group
Lieu :
Arabie Saoudite - Jeddah
Responsibilities
Accounts Payable (capital expediter, motor claims, medical claims, payroll and other expensive)
Verification of the financial authority, vender management, payment verification and validation and processing.
Accounts Payable (capital expediter, motor claims, medical claims, payroll and other expensive)
Verification of the financial authority, vender management, payment verification and validation and processing.
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