علاءالدين صالح, SUPERVISOR ACCOUNTANT

علاءالدين صالح

SUPERVISOR ACCOUNTANT

SAUDI PHARMACEUTICAL COMPANY LTD

البلد
الأردن - البلقاء‎
التعليم
بكالوريوس, Accountant
الخبرات
23 years, 2 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :23 years, 2 أشهر

SUPERVISOR ACCOUNTANT في SAUDI PHARMACEUTICAL COMPANY LTD
  • المملكة العربية السعودية - الرياض
  • سبتمبر 2009 إلى يناير 2019

• Prepare complete set of financial statements for Management and External Auditors;
• Assist Finance Director in the preparation of annual and monthly budget;
• Preparation of Financial Analysis for higher management;
• Analyze and manage Company working capital especially outstanding receivables and collection on weekly as well as monthly basis;
• Manages the accuracy and productivity of everyday routines of accounts payable, money disbursements and fixed property;
• Supervises, trained and evaluates a crew of specialists on the Accounting matters;
• Analyzes accrual, banks and inter- company reconciliations and statutory reserves;
• Maintains the accounting process;
• Check financial covenants of business contracts;
• Approves business travels expenses as per Company policies;
• Liaise with external auditors, insurance companies;

CHIEF ACCOUNTANT في MARKETING COMPREHENSIVE COMPANY LTD- MARCOM
  • المملكة العربية السعودية - الرياض
  • أكتوبر 2007 إلى يونيو 2009

1- PREPARATION OF FINANCIAL STATEMENTS

• Preparing timely and accurate monthly financial statement in deadline pressure.
• Analyze Complex financial data, extracts and defines relevant information.
• Prepare and file annual financials for external auditors, ensuring up to date records for accounting year.

2- FORECASTING AND BUDGETING

• Prepare accurate and realistic financial forecast of the company’s performance.
• Coordinating with various departments for departmental budget.
• Framing up budget pattern and recognize budget expenditures.
• Summing up the budgeted expenditures and preparing unified budget.
• Preparing 5 years rolling forecast as per estimates and predictions.
• Interprets financial data for the purpose of determining past performance.
• Calculate Variances; Analyze Financial Ratio & Preparing Analytical Reports.

3- WORKING CAPITAL MANAGEMENT

• Reviewing payment vouchers, payment certificates & Invoice Verification Certificates.
• Check & verify prices, calculations and other details of invoice related to PO/Contract.
• Ensure that all payment certificates & IVCs are approved as per Authority Matrix.
• Controlling payable aging policy and following for timely payments.
• Finally reviewing the recording of the document in BAAN and controlling them.
• Reviewing sales invoice, credit forecasts and monthly credit summary.
• Analyzing receivables aging policy and monitoring in ERP system.
• Controlling debts, bad and doubtful debts and its proper recovery & recoding.
• Fully responsible for opening Import Letter of Credit/ Domestic Letter of Credit.
• Monitoring its payment thru bank and record in IERP Accounting system.
• LG, BG, interest on LC Finances & refinances and refinance against matured loan.

4- PAYROLL MANAGEMENT

• Coordinating with Human Resource Department for monthly payroll’s preparation & policies.
• Controlling, calculating and coordinating with HR Dept. for monthly GOSI payments
• Controlling End of Service calculations and final settlement of the terminated employee.

5- - FIXED ASSETS MANAGEMENT

• Supervising the Recording, Tagging & safeguarding of fixed Assets.
• Applying Fixed Assets depreciation policy as per approved policy.
• Monitoring retirement and disposal policy of the fixed assets.

CHIEF ACCOUNTANT في AL BADDAD HOLDING GROUP JORDAN- CHIEF ACCOUNTANT
  • الأردن - عمان
  • فبراير 2007 إلى أكتوبر 2007

• Following accounting applications & functions within the organization.
• Preparing monthly income statement & quarterly balance sheet.
• Preparation of project cost and analysis reports, Applying Cost Centers, & analyze variances with actual
• Organizing & coordinating with internal and external auditors.
• Calculating sales tax & income tax and filing forms as per Jordan Low.
• Extensive understanding of ERP solution.
• Coordinate with the accountants and other junior staff.
• Follow-up with the Engineering Department to get the percentage of completion report to prepare the payments to the sub contractor & suppliers as per the contract.

CHIEF ACCOUNTANT في - ELECTRICAL EQUIPMENT INDUSTRIES - ELICO
  • الأردن - عمان
  • يوليو 2005 إلى يناير 2007

• Monthly reports to the Management regarding the Financial Condition of the firm.
• Preparation of financial statements
• Supervising the Accounting Team.
• Preparation of different reconciliation
• Working Capital Management
• Preparing Receipts, Payments and Journal Vouchers.
• Preparation of mandatory accounting registers including cash book, post dated cheques, stock register.

ASSISTANT CHIEF ACCOUNTANT في AQUAMARINA HOTEL’S
  • الأردن - العقبة
  • سبتمبر 2004 إلى يوليو 2005

• Assist Finance Director in the preparation of annual and monthly budget;
• Preparation of Financial Analysis for higher management;
• Analyze and manage Company working capital especially outstanding receivables and collection on weekly as well as monthly basis;
• Manages the accuracy and productivity of everyday routines of accounts payable, money disbursements and fixed property;
• Supervises, trained and evaluates a crew of specialists on the Accounting matters;
• Analyzes accrual, banks and inter- company reconciliations and statutory reserves;
• Maintains the accounting process;
• Check financial covenants of business contracts;
• Approves business travels expenses as per Company policies;
• Liaise with external auditors, insurance companies;

CHIEF ACCOUNTANT في AL- ASALSAH ELECTRO MECHANICS CO
  • الأردن - عمان
  • فبراير 2003 إلى أغسطس 2004

• Prepare complete set of financial statements for Management and External Auditors;
• Assist Finance Director in the preparation of annual and monthly budget;
• Preparation of Financial Analysis for higher management;
• Analyze and manage Company working capital especially outstanding receivables and collection on weekly as well as monthly basis;
• Manages the accuracy and productivity of everyday routines of accounts payable, money disbursements and fixed property;
• Supervises, trained and evaluates a crew of specialists on the Accounting matters;
• Analyzes accrual, banks and inter- company reconciliations and statutory reserves;
• Maintains the accounting process;
• Check financial covenants of business contracts;
• Approves business travels expenses as per Company policies;
• Liaise with external auditors, insurance companies;

CHIEF ACCOUNTANT في ALLIED ARMS CO. LTD (MEMBER AL YOUSEF & FAWZI GROUP)
  • البحرين - المنامة
  • ديسمبر 2000 إلى يناير 2003

1- PREPARATION OF FINANCIAL STATEMENTS

• Preparing timely and accurate monthly financial statement in deadline pressure.
• Analyze Complex financial data, extracts and defines relevant information.
• Prepare and file annual financials for external auditors, ensuring up to date records for accounting year.

2- FORECASTING AND BUDGETING

• Prepare accurate and realistic financial forecast of the company’s performance.
• Coordinating with various departments for departmental budget.
• Framing up budget pattern and recognize budget expenditures.
• Summing up the budgeted expenditures and preparing unified budget.
• Preparing 5 years rolling forecast as per estimates and predictions.
• Interprets financial data for the purpose of determining past performance.
• Calculate Variances; Analyze Financial Ratio & Preparing Analytical Reports.

3- WORKING CAPITAL MANAGEMENT

• Reviewing payment vouchers, payment certificates & Invoice Verification Certificates.
• Check & verify prices, calculations and other details of invoice related to PO/Contract.
• Ensure that all payment certificates & IVCs are approved as per Authority Matrix.
• Controlling payable aging policy and following for timely payments.
• Finally reviewing the recording of the document in BAAN and controlling them.
• Reviewing sales invoice, credit forecasts and monthly credit summary.
• Analyzing receivables aging policy and monitoring in ERP system.
• Controlling debts, bad and doubtful debts and its proper recovery & recoding.
• Fully responsible for opening Import Letter of Credit/ Domestic Letter of Credit.
• Monitoring its payment thru bank and record in IERP Accounting system.
• LG, BG, interest on LC Finances & refinances and refinance against matured loan.

4- PAYROLL MANAGEMENT

• Coordinating with Human Resource Department for monthly payroll’s preparation & policies.
• Controlling, calculating and coordinating with HR Dept. for monthly GOSI payments
• Controlling End of Service calculations and final settlement of the terminated employee.

5- - FIXED ASSETS MANAGEMENT

• Supervising the Recording, Tagging & safeguarding of fixed Assets.
• Applying Fixed Assets depreciation policy as per approved policy.
• Monitoring retirement and disposal policy of the fixed assets.

CHIEF ACCOUNTANT في FABCO GROUP : JADAWEL HEALTHY WATER FACTORY
  • المملكة العربية السعودية - الدمام
  • نوفمبر 1998 إلى نوفمبر 2000

• Monthly reports to the Management regarding the Financial Condition of the firm.
• Preparation of financial statements
• Supervising the Accounting Team.
• Preparation of different reconciliation
• Working Capital Management
• Preparing Receipts, Payments and Journal Vouchers.
• Preparation of mandatory accounting registers including cash book, post dated cheques, stock register.

Accountant في AL HAJ YOUSEIF HASSANAIN EST
  • الأردن - عمان
  • أكتوبر 1995 إلى أكتوبر 1998

Accountant Job

الخلفية التعليمية

بكالوريوس, Accountant
  • في Al Isra'a University
  • سبتمبر 1995

بكالوريوس محاسبة

Specialties & Skills

Analysis
Budget Preparation
General Ledger Reconciliation
General Ledger Maintenance
Account Reconciliation
Computer skills
anylises account
Printing
Financial Analyzes
Financial Reports
Microsoft excel
Accounting
Finance
Management
Microsoft Office
Administration
Banking
Preparation
Payroll
Auditing
Budgeting
Key Account Management
Managed Accounts
Reconciliation
Major Accounts
Annual Budgets
Sales Tax
Team Management

حسابات مواقع التواصل الاجتماعي

الموقع الشخصي
الموقع الشخصي

لقد تم حذف الرابط بسبب انتهاكه لسياسة الموقع. يرجى التواصل مع قسم الدعم لمزيد من المعلومات.



اللغات

الانجليزية
متوسط
العربية
اللغة الأم

التدريب و الشهادات

Financial Analysis (تدريب)
معهد التدريب:
Financial Analysis Training Course
تاريخ الدورة:
January 1997
Oracle, SQL forms & report (تدريب)
معهد التدريب:
ITIL training center
تاريخ الدورة:
July 1996

الهوايات

  • reading story, travelling
    reading story, travelling