Accountant
American Baccalaureate School Kuwait
مجموع سنوات الخبرة :4 years, 0 أشهر
Accounts Payables.
Accounts Receivables.
Bank Reconciliation Statement.
Preparing monthly timesheet ledger and Payroll by division.
Final Settlement and Indemnity Calculations.
Preparing cheques and Online transfers to suppliers.
Monthly Reconciliation to ensure balances are Accurate.
Handling petty cash and preparing cost-centre wise expense report.
Prepaid and Accrued expenses and Periodic reconciliation.
Sub Ledger Reconciliations.
Assist with annual Auditing and preparing variance reports.
Assist Manager in preparing Financial reports.
Posting of all the transactions of the year.
Letters to the Bank and Ministries.
Other Tasks assigned by the Manager.
Accounts Payables.
Accounts Receivables.
Petty cash and Daily Cash & Sales Reconciliation.
Checking the monthly timesheet and payroll calculations.
Final Settlement and Indemnity Calculations.
Employee documents Filing and Passport handling.
Candidate resume screening and onboarding process.
Ensuring the employees residency is transferred or renewed on time.
Bank Reconciliation Statement.
Other Accounts and Administrative duties assigned by the Manager.
Recording Sales Ledger, Preparing Daily and Monthly Sales Reports.
Evaluate credit applications and oversee collections.
Preparing cheques and Online transfers to suppliers.
Employee data handling and filing.
Making sure all the employees are following the company regulations.
Periodic reconciliation to ensure the balances are accurate.
Preparing monthly Aging of Customer and Suppliers.
Checking the monthly timesheet and payroll calculations.
Ensure proper inventory stock level and handle periodic counting cycle.
Assist Manage in preparing Financial reports and Annual Auditing
Assist in computing Taxes, Income Tax registration and E-filing.
MBA in Human Resource and Finance
Bachelor of Commerce