Ahmed Osama Kaiaty Mohamed, Payroll Accountant

Ahmed Osama Kaiaty Mohamed

Payroll Accountant

Starlink

Location
Qatar - Doha
Education
Bachelor's degree,
Experience
6 years, 8 Months

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Work Experience

Total years of experience :6 years, 8 Months

Payroll Accountant at Starlink
  • Qatar - Doha
  • July 2012 to December 2013

Responsible for processing payroll accurately and timely, utilizing applicable ERP systems / applications and ensuring sufficient controls are in place and performed.
Ability to work independently with minimal supervision to Perform a variety of payroll assignments requiring knowledge and experience in payroll and human resources theory and practices, policies, regulations and requirements. Effectively communicates payroll situations, from simple to complex, to all levels of staff ( around 1, 500 employees have been employed for our Clients companies) and management, including senior management.
I have Strong technical payroll skills with the ability to solve payroll and system challenges and have a high degree of respect for confidentiality and sensitivity of payroll and human resources data.
I have the full knowledge of payroll functions as a staff accountant by preparing account reconciliations and analyses, preparing journal entries, assisting with accounts payable and employee reimbursed expense processing as needed.

Senior Accountant at Abdallah Bin Khalifa AL-Thani for Trading and Construction
  • Qatar - Doha
  • June 2011 to June 2012

 Ensure that AP/AR/Payroll monthly transactions are accurately transferred to the General Ledger and transactions reconciled.
 Responsible for the review process to ensure that the monthly transactions processed through AP/AR/Payroll are accurately processed to the correct accounts.
 Conduct analysis of prepaid and accrual accounts and the preparation of adjustments as appropriate.
 Review the intercompany accounts and prepares journal entries as appropriate.
 Participate in the review process of the trial balance, ensuring expenses are properly recorded and adjusted.
 Coordinate with other departments to facilitate the timely processing of transactions to ensure the General Ledger is closed on set deadlines.
 Ensure all balance sheet accounts are prepared accurately, and the balance sheet reconciliation ties to balances on the trial balance.
 Follow-up on reconciling items identified in each balance sheet accounts and ensure that adjustments are prepared in the following period.
 Responsible for the review process to ensure year-end balance sheet reconciliations are clear of outstanding reconciling items.
 Participate in the monthly General Ledger close process, and assist the Financial Budgeting and reporting team with inquiries related to actual transactions processed through the General Ledger.
 Participate in the year-end financial requirements including the preparation of the lead sheets as part of the year-end financial close and assist with the overall external audit
 process.
 Prepare and review the bank reconciliation and intercompany reconciliation statement.
 Prepare all types of reports which are required as for financial statement disclosure.
 Analyze financial information to recommend or develop efficient use of resources and procedures, provide strategic recommendations and maintain solutions to business and financial problems.
 Summarize financial status by collecting information, preparing balance sheet, profit and loss, and other statements
 Ability to complete routine tasks with limited supervision.
 Adhere to Company's standards as they appear in the Code of Conduct and policies.

Accountant at KHOBRAA – Real Estate Investment
  • Egypt - Cairo
  • October 2007 to September 2010

Job Description: Prepare journal entries, general ledger and Monthly, Perform accounts receivable, accounts
payable and Subcontractors operations, monthly bank reconciliation, Monthly Financial Reports.

Responsibilities:
• Preparation and presentation of monthly & quarterly Financial statements
• Reviews analyze debit notes or credit notes from company related parties and other Group Company.
• Maker sure that all data entries goes to proper and respective ledger account.
• Prepare bank reconciliation if required and intercompany reconciliation statement.
• Review all journal entries which pertain to sub ledger accounts payable, accounts receivable, Payroll or petty cash transaction.

Accountant at AL RAFEEF – For Contracting
  • Other
  • August 2006 to August 2007

Job Description: Prepare journal entries, general ledger and Monthly, Perform accounts receivable, accounts payable and Subcontractors operations, monthly bank reconciliation, Monthly Financial Reports.

Responsibilities:
• Preparation and presentation of monthly & quarterly Financial statements
• Reviews analyze debit notes or credit notes from company related parties and other Group Company.
• Maker sure that all data entries goes to proper and respective ledger account.
• Prepare bank reconciliation if required and intercompany reconciliation statement.
• Review all journal entries which pertain to sub ledger accounts payable, accounts receivable, Payroll or petty cash transaction.

Education

Bachelor's degree,
  • at جامعة القاهرة
  • September 2005

Specialties & Skills

General Ledger
Preparation
Balance
Payroll
Accounting Applications (ERP Oracle, Peachtree, QuickBooks)
Computer Technical Support (Software, Hardware)
Windows XP,7
MS Office

Languages

English
Expert
Arabic
Expert

Memberships

Institute of Management Accountants
  • 000007507940
  • May 2012

Training and Certifications

Level (9) (Certificate)
Date Attended:
September 2006
Valid Until:
August 2007
Professional Diploma in Accounting (Certificate)
Date Attended:
June 2007
Valid Until:
January 2008

Hobbies

  • listening Music, Playing Football