Senior Accountant
Samam
Total years of experience :13 years, 4 Months
Responsible for accounts Receivables. Review vacation and final settlements Daily journal entries
Making Adjusted entries for balance sheet. Making adjusted Trial balance .
Making financial statements (I/S&B/S). Monthly report for value added Tax
cash flow statement
Cost accountant at Talat Mustafa Group
Manage and supervise daily operation of, expense &compare between the executive quantity in consumption report or sub- contractor quantity and quantity of invoice revenue
Prepare cost analysis of the cost tracing and terms of it and making reports of if the project making gain or loss and if we make gain or loss also at the quantity which the client put it at he in invoice revenue
Compare between standard budget and actual
Compare between the budget quantity consumped and the actual .quantity consumed to extract the depreciated quantity
Income statement for each projects.
• 2013 to 2016:
Accountant at Samama contracting.
keep daily accounting transactions.
General supervisor on the accountant of sites
Making costing reports of analysis of projects and analysis of cost tracing and terms and making time schedule about at any percentage of completion the time remaining to primary finish the project and comparing between the executive and quantity revenue &making breakeven quantity, separate income statement for each projects.
Work accountant sites
Contribute now for making inventory system by collected all related materials related to cost tracing and centers
Physical counts for the assets of the company.
Redesign the chart of account for the expenses.
Making system of the inventory in the company
The head of inventory department
• 2016-2019:
Accountant at Samama transportation projects.
Responsible for accounts payable
Review vacation and final settlements
Daily journal entries
Bank treatment and reconciliations
Build &repair the inventory and asset system
The head of inventory department
Manage and supervise daily operation of, expense &compare between the executive quantity in consumption report or sub- contractor quantity and quantity of invoice revenue
•Prepare cost analysis of the cost tracing and terms of it and making reports of if the project making gain or loss and if we make gain or loss also at the quantity which the client put it at he in invoice revenue
•Compare between standard budget and actual
•Compare between the budget quantity consumped and the actual .quantity consumed to extract the depreciated quantity
•Income statement for each projects.
English commerce-accounting department -Alex university
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