Total des années d'expérience: 17 Années, 2 Mois
septembre 2016
A À présent
Senior relationship Manager
à Arab african international bank
Lieu :
Émirats Arabes Unis - Abu Dhabi
• Working on client’s portfolios assisting them to take the right decision for their accounts
• Explain different financial services that benefit both client and organization.
• Ensure compliance with audit recommendations, local laws, group compliance and money laundering requirements are implemented.
• Respond to Premier Account customers’ requests, queries and complaints
• Ensure that a consistently high level of customer service is maintained and thus contributing positively to the image of the Bank.
• Proactively learn and develop one self.
• Improve customer perception and service standard by monitoring and reviewing procedures and reducing number of processing errors.
• Explain different financial services that benefit both client and organization.
• Ensure compliance with audit recommendations, local laws, group compliance and money laundering requirements are implemented.
• Respond to Premier Account customers’ requests, queries and complaints
• Ensure that a consistently high level of customer service is maintained and thus contributing positively to the image of the Bank.
• Proactively learn and develop one self.
• Improve customer perception and service standard by monitoring and reviewing procedures and reducing number of processing errors.
avril 2015
A juillet 2016
Senior teller
à Arab African International Bank
Lieu :
Émirats Arabes Unis - Abu Dhabi
janvier 2014
A mars 2015
Senior Teller
à Al Ansari Exchange
Lieu :
Émirats Arabes Unis - Abu Dhabi
mars 2010
A février 2013
Sales executive
à Nissan Co.
Lieu :
Arabie Saoudite - Jeddah
Assisted in implementation of company marketing plans as needed.
Created and conducted effective proposal presentations and RFP responses.
Attracted potential customers to company’s promotions and advertisements.
Attended meetings with clients and conveyed their requirements to management.
Motivated customers by demonstrating the products well.
Responded to inquiries and trade suggestions.
Produced year-end inventory report - Prepared reports and provided sales management information.
Created and conducted effective proposal presentations and RFP responses.
Attracted potential customers to company’s promotions and advertisements.
Attended meetings with clients and conveyed their requirements to management.
Motivated customers by demonstrating the products well.
Responded to inquiries and trade suggestions.
Produced year-end inventory report - Prepared reports and provided sales management information.
juin 2008
A février 2010
Senior Accountant
à Eastren project company
Lieu :
Arabie Saoudite - Jeddah
1- Ensure best implementation of approved accounting policies & procedures.
2- Prepare the consolidated accounting statements and processing internal transactions within the group.
3- Review and develop current accounting systems.
4- Generate different types of reports that help the management take the right decisions.
2- Prepare the consolidated accounting statements and processing internal transactions within the group.
3- Review and develop current accounting systems.
4- Generate different types of reports that help the management take the right decisions.
juillet 2007
A mai 2008
Sales exceutive ERP system
à Orascom for training & technology
Lieu :
Egypte
marketing for systems that made by the company to most of biggest companies in the Egypt and the world
février 2006
A juin 2007
Junior Accountant
à Alexadria For Construction & Developement
Lieu :
Egypte - Alexandrie
· Perform monthly bank, merchant, and investment reconciliation’s.
· Responsible for investment data entry and gain/loss calculations.
· Reconcile, adjust and maintain Balance Sheet accounts such as prepaid expense, petty cash, accounts receivable, payroll related payables, loan and notes receivables, deferred income accounts, etc.
· Compile, enter and post monthly adjusting journal entries.
· Responsible for payroll monthly journal entries and reconciling monthly reports.
· Responsible for investment data entry and gain/loss calculations.
· Reconcile, adjust and maintain Balance Sheet accounts such as prepaid expense, petty cash, accounts receivable, payroll related payables, loan and notes receivables, deferred income accounts, etc.
· Compile, enter and post monthly adjusting journal entries.
· Responsible for payroll monthly journal entries and reconciling monthly reports.
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