Total Years of Experience: 13 Years, 3 Months
June 2016
To Present
Accountant
at X7 Company for Telecoms and Mobiles ( authorized distributor VIVA company )
Location :
Kuwait - Hawali
Resposibilites and duites
* Responsible for 14 branches for provide Stc service and products .
* Documentation financial transactions by entering account information .
* Reviewing the bills of new purchases and orders and entering them into the system to add
them to the company stock .
* recording journal entries in software accounting program for sales and purchases invoices,
revenues, pranches rents, Sales commission, expenses entries and other accounting
transactions .
* Maintain financial records and keep books and documents.
* Preparing financial reports that allow business owners and shareholders to take appropriate
decisions.
* maintain the general ledger operations .
* Keep a copy of integrated accounting reports and appropriately structured as a substitute for
manual records .
* inventory count .
* Responsible for 14 branches for provide Stc service and products .
* Documentation financial transactions by entering account information .
* Reviewing the bills of new purchases and orders and entering them into the system to add
them to the company stock .
* recording journal entries in software accounting program for sales and purchases invoices,
revenues, pranches rents, Sales commission, expenses entries and other accounting
transactions .
* Maintain financial records and keep books and documents.
* Preparing financial reports that allow business owners and shareholders to take appropriate
decisions.
* maintain the general ledger operations .
* Keep a copy of integrated accounting reports and appropriately structured as a substitute for
manual records .
* inventory count .
June 2012
To June 2016
Accountant
at Durrat El Khaleej ( authorized distributor ZAIN company )
Location :
Kuwait - Hawali
Responsibilities and duites
• Reviewing the bills of new purchases and orders and entering them into the system to add them to the company stock .
• recording journal entries in software accounting program for sales and purchases invoices, revenues, Sales commission, pranches rents, expenses entries and other accounting transactions .
• Preparing financial reports that allow business owners and shareholders to take appropriate decisions.
• Maintain financial records and keep books and documents.
• Carrying out a periodic inventory of the company's accessories and devices.
• maintain the general ledger operations .
• inventory count .
• Reviewing the bills of new purchases and orders and entering them into the system to add them to the company stock .
• recording journal entries in software accounting program for sales and purchases invoices, revenues, Sales commission, pranches rents, expenses entries and other accounting transactions .
• Preparing financial reports that allow business owners and shareholders to take appropriate decisions.
• Maintain financial records and keep books and documents.
• Carrying out a periodic inventory of the company's accessories and devices.
• maintain the general ledger operations .
• inventory count .
April 2010
To September 2011
assistant accountant and treasurer
at El Naggar Ifcco ( authorized distributor Iffco Egypt company )
Location :
Egypt - Aswan
and duites
* Collect money from the sales team and record receipts.
* Track, review and audit Accounts Payable.
* Reviewing the bills of new purchases and orders and entering them into the system to add them to the
company stock .
* Carry out a periodic inventory of food commodities.
* Preparing financial reports that allow business owners and shareholders to take appropriate decisions.
* Maintain financial records and keep books and documents.
* Preparing payroll and salary statements for all workers and employees .
* inventory count .
* Collect money from the sales team and record receipts.
* Track, review and audit Accounts Payable.
* Reviewing the bills of new purchases and orders and entering them into the system to add them to the
company stock .
* Carry out a periodic inventory of food commodities.
* Preparing financial reports that allow business owners and shareholders to take appropriate decisions.
* Maintain financial records and keep books and documents.
* Preparing payroll and salary statements for all workers and employees .
* inventory count .
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