Bassam Youssef Ibrahem, Chief Accountant, Dip IFRS(ACCA), CTP

Bassam Youssef Ibrahem

Chief Accountant, Dip IFRS(ACCA), CTP

Al Taresh Real Estate service Trustee

Location
United Arab Emirates - Dubai
Education
Diploma, International Financial Reporting Standard
Experience
13 years, 8 Months

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Work Experience

Total years of experience :13 years, 8 Months

Chief Accountant, Dip IFRS(ACCA), CTP at Al Taresh Real Estate service Trustee
  • United Arab Emirates - Dubai
  • My current job since December 2019

Perform financial analysis and reporting to management as needed.
Perform month-end accounting activities such as reconciliations and journal entries.
Coordinate with finance team to complete assigned accounting tasks within deadlines.
Evaluate computerized accounting systems and provide recommendations to IT team for performance improvements.
Generate financial reports and statements to Managers for review.
Analyze financial discrepancies and recommend effective resolutions.
Monitor expenditures, analyze revenues and determine budget variances and report the same to management.
Respond to accounting inquiries from management in a timely fashion.
Provide guidance to other Accountants when needed.
Assist in budget preparation and expense management activities for assigned accounts.
Assist in auditing activities by providing necessary information and preparing requested documentations.
Monitor and record financial transactions according to company policies and regulations.
Review and recommend changes to existing accounting procedures.

Chief Accountant, Dip IFRS(ACCA), CTP in progress - Al Taresh Real Estate service Trustee at Al Taresh Real Estate service Trustee
  • United Arab Emirates - Dubai
  • My current job since December 2019

Perform financial analysis and reporting to management as needed.
Perform month-end accounting activities such as reconciliations and journal entries.
Coordinate with finance team to complete assigned accounting tasks within deadlines.
Evaluate computerized accounting systems and provide recommendations to IT team for performance improvements.
Generate financial reports and statements to Managers for review.
Analyze financial discrepancies and recommend effective resolutions.
Monitor expenditures, analyze revenues and determine budget variances and report the same to management.
Respond to accounting inquiries from management in a timely fashion.
Provide guidance to other Accountants when needed.
Assist in budget preparation and expense management activities for assigned accounts.
Assist in auditing activities by providing necessary information and preparing requested documentations.
Monitor and record financial transactions according to company policies and regulations.
Review and recommend changes to existing accounting procedures.

Chief Accountant, Dip IFRS(ACCA), CTP in progress - Al Taresh Real Estate service Trustee at Al Taresh Real Estate service Trustee
  • United Arab Emirates - Dubai
  • My current job since December 2019

Perform financial analysis and reporting to management as needed.
Perform month-end accounting activities such as reconciliations and journal entries.
Coordinate with finance team to complete assigned accounting tasks within deadlines.
Evaluate computerized accounting systems and provide recommendations to IT team for performance improvements.
Generate financial reports and statements to Managers for review.
Analyze financial discrepancies and recommend effective resolutions.
Monitor expenditures, analyze revenues and determine budget variances and report the same to management.
Respond to accounting inquiries from management in a timely fashion.
Provide guidance to other Accountants when needed.
Assist in budget preparation and expense management activities for assigned accounts.
Assist in auditing activities by providing necessary information and preparing requested documentations.
Monitor and record financial transactions according to company policies and regulations.
Review and recommend changes to existing accounting procedures.

Chief Accountant, Dip IFRS(ACCA), CTP in progress - Al Taresh Real Estate service Trustee at Al Taresh Real Estate service Trustee
  • United Arab Emirates - Dubai
  • My current job since December 2019

Perform financial analysis and reporting to management as needed.
Perform month-end accounting activities such as reconciliations and journal entries.
Coordinate with finance team to complete assigned accounting tasks within deadlines.
Evaluate computerized accounting systems and provide recommendations to IT team for performance improvements.
Generate financial reports and statements to Managers for review.
Analyze financial discrepancies and recommend effective resolutions.
Monitor expenditures, analyze revenues and determine budget variances and report the same to management.
Respond to accounting inquiries from management in a timely fashion.
Provide guidance to other Accountants when needed.
Assist in budget preparation and expense management activities for assigned accounts.
Assist in auditing activities by providing necessary information and preparing requested documentations.
Monitor and record financial transactions according to company policies and regulations.
Review and recommend changes to existing accounting procedures.

Group senior financial accountant, Al Manar Holding at Al Manar Holding
  • United Arab Emirates - Dubai
  • April 2018 to December 2019

- Ensure appropriate GL coding for all invoices received, review all reconciliations.
- Approving ledger entries by auditing transactions.
- Generate daily Payment and collection report.
- Prepares monthly statements by collecting data; analyzing and investigating variances; summarizing data, information, and trends.
- Prepares state monthly, quarterly and annual statements by assembling data.
- Responding to financial inquiries by gathering, analyzing, summarizing, interpreting data.
- Provides financial advice by studying operational issues, applying financial principles and practices; developing recommendations.
- Prepares banks and end of month reconciliation.
- Apply VAT, filling and return as per UAE law.
- Keeping the asset register file and calculate depreciation and capitalize on the expenditure.

Senior Accountant at Centamin Egypt / Sukari Gold Mines
  • Egypt - Alexandria
  • August 2016 to April 2018

- Ensure appropriate GL coding for all invoices received
- Review vendor reconciliations.
- Approving ledger entries by auditing transactions.
- Generate daily Payment report.
- Prepares monthly statements by collecting data; analyzing and investigating variances; summarizing data, information, and trends.
- Prepares state monthly, quarterly and annual statements by assembling data.
- Responds to financial inquiries by gathering, analyzing, summarizing, and interpreting data.
- Provides financial advice by studying operational issues; applying financial principles and practices; developing recommendations.
- Prepares special reports by studying variances; preparing budgets; developing forecasts.
- Prepares banks and end of month reconciliation.
- Updates job knowledge by keeping current with financial regulations and accepted practices; participating in educational opportunities; reading professional publications; maintaining personal networks; participating in professional organizations.

A/R ACCOUNTANT at JUMIA EGYPT
  • Egypt - Alexandria
  • June 2014 to August 2016

-generate and send out invoices
-follow up on, collect and allocate payments
-carry out billing, collection and reporting activities according to specific deadlines
-perform account reconciliations
-research and resolve payment discrepancies
-generate age analysis
-review AR aging to ensure compliance
-maintain accounts receivable customer files and records
-follow established procedures for processing receipts, cash etc
-process credit card payments
-prepare bank deposits
-process adjustments
-develop a recovery system and initiate collection efforts
-assist with month-end closing
-collect data and prepare monthly metrics

AR/Accountant at B-Tech
  • Egypt - Alexandria
  • October 2013 to June 2014

- Perform account reconciliations.
- Research and resolve payment discrepancies.
- Generate age analysis.
- Follow established procedures for processing receipts, cash etc.
- Prepare bank deposits.
- Process adjustments.
- Develop a recovery system and initiate collection efforts.
- Assist with month-end closing.
- Collect data and prepare monthly metrics.

first lieutenant (financial) at Egyptian Armed force
  • Egypt - Alexandria
  • April 2011 to September 2013
accountant at Power Trac for Heavy Equipment and Leasing
  • Egypt - Alexandria
  • September 2010 to April 2011

Accountant

Education

Diploma, International Financial Reporting Standard
  • at ACCA
  • January 2018

IFRS DIP

Bachelor's degree, ACCOUNTING
  • at faculty of commerce -Alexandria university
  • September 2010

Alexandria University

Specialties & Skills

Accounts Payable
Major Accounts
Fund Services
Accounts Receivable
Year End Accounts
team leader
Account Payable
Accounts Reconciliations
Quickbooks
purchasing
accounting
payments
payroll
sales tax
purchase accounting
reconciliation
petty cash
microsoft powerpoint
Trainee at EGX

Languages

English
Intermediate

Training and Certifications

تدريب علي التسجيل والترحيل وعمل القوائم المالية (Training)
Training Institute:
الجمعية المصرية للمحاسبين القانونين
Date Attended:
December 2009