Total des années d'expérience: 20 Années, 2 Mois
janvier 2007
A À présent
multi task
à cairo
Lieu :
Egypte
-Employer: Abu Dhabi Islamic Bank
Senior Finance Maintenance:
o Releasing and blocking collaterals
o Early and partial settlements
o Issuing car traffic renewals letters
o Issuing certificates
o Issuing release letters
o Coordinate with branches for missing documents
o LG commitment setting
o Accurate review for the returned files
o Support branches and other parties
o Follow up pending cases with branches
o Reply to branches / risk for the inquires
Employer: Abu Dhabi Islamic Bank
Teller:
o Cashing cheques accepting deposits and withdrawals
o Verifying signatures balances cash daily with head/chief teller.
o Checking statements
o Making money transfers
o Have good numeracy and IT skills
o Have The confidence to sell
o Feed ATM Machine and Inventory cash
Human Resource Management:
o Checking people's hours and Calculating overtime
o Making the monthly payments on time
o Make sure that all of our employees have the opportunity to grow and develop and get the best out of their jobs and careers.
o Working out tax and national insurance deductions and Issuing tax forms
o Setting up new members of staff
o Managing special situations like vacations, maternity or sickness pay.
Operation:
o Ensuring the smooth running of basic banking transactions.
o Putting into effect new procedures and policies passed down from Head Office.
o Handling customer queries face to face, over the phone or via correspondence.
o Analyzing financial reports.
o Verifying customer data to detect and identify financial fraud.
Customer Service:
o Opening accounts to new customers and update old customers data
o Promoting and marketing the bank and its products
o Monitoring sales targets
o Issuing checkbooks
o Opening post and sending letters to customers.
o Helping customers with loan
o Listens to client's problems and work to solve them
o Advising companies on how to effectively use their money to grow their business.
o Representing the bank within the local community.
Employer: Accounting office Ahmed Ali Malk
Position: Accountant, and auditor.
Responsibilities:
o Compile and analyze financial information to prepare financial statements including monthly and annual accounts and year end close
o Financial records are maintained in compliance with accepted policies and procedures.
o Ensure all financial reporting deadlines are met.
o Prepare financial management reports.
Senior Finance Maintenance:
o Releasing and blocking collaterals
o Early and partial settlements
o Issuing car traffic renewals letters
o Issuing certificates
o Issuing release letters
o Coordinate with branches for missing documents
o LG commitment setting
o Accurate review for the returned files
o Support branches and other parties
o Follow up pending cases with branches
o Reply to branches / risk for the inquires
Employer: Abu Dhabi Islamic Bank
Teller:
o Cashing cheques accepting deposits and withdrawals
o Verifying signatures balances cash daily with head/chief teller.
o Checking statements
o Making money transfers
o Have good numeracy and IT skills
o Have The confidence to sell
o Feed ATM Machine and Inventory cash
Human Resource Management:
o Checking people's hours and Calculating overtime
o Making the monthly payments on time
o Make sure that all of our employees have the opportunity to grow and develop and get the best out of their jobs and careers.
o Working out tax and national insurance deductions and Issuing tax forms
o Setting up new members of staff
o Managing special situations like vacations, maternity or sickness pay.
Operation:
o Ensuring the smooth running of basic banking transactions.
o Putting into effect new procedures and policies passed down from Head Office.
o Handling customer queries face to face, over the phone or via correspondence.
o Analyzing financial reports.
o Verifying customer data to detect and identify financial fraud.
Customer Service:
o Opening accounts to new customers and update old customers data
o Promoting and marketing the bank and its products
o Monitoring sales targets
o Issuing checkbooks
o Opening post and sending letters to customers.
o Helping customers with loan
o Listens to client's problems and work to solve them
o Advising companies on how to effectively use their money to grow their business.
o Representing the bank within the local community.
Employer: Accounting office Ahmed Ali Malk
Position: Accountant, and auditor.
Responsibilities:
o Compile and analyze financial information to prepare financial statements including monthly and annual accounts and year end close
o Financial records are maintained in compliance with accepted policies and procedures.
o Ensure all financial reporting deadlines are met.
o Prepare financial management reports.
janvier 2008
A mars 2014
Accountant
à Abo Zabi Islamic Bank
From 2008 - present
Employer: Abo Zabi Islamic Bank
Position: Accountant
• Responsibilities: • Teller: operates a teller window to serve the banks customers by accepting retail and /or commercial deposits, verifying cash, and endorsements and giving customers their receipts identifying customers and cashing checks, or referring customers to an officer for authorization to cash checks accepting saving deposits and withdrawals, verifying signatures balances cash daily with head/chief teller.
• Follows teller over/ short policy
• Promotes and maintain positive relations with all contacts, customers and potential customers.
• Comply with all bank policies and procedures.
• Preform as a team member in allocating and coordinating the work flow
• All other duties as assigned
• Operate as customer services: • Support and solve problems which face the pension tellers in the point of sale
• Help in deploy the new services in the government entities, accounting units and banks
• Assisting customers in filling technical forms and questionnaires
• Handling customers' relations and understanding the customers' needs.
For any inquiries please call me thru the below cell or e-mail me
Employer: Abo Zabi Islamic Bank
Position: Accountant
• Responsibilities: • Teller: operates a teller window to serve the banks customers by accepting retail and /or commercial deposits, verifying cash, and endorsements and giving customers their receipts identifying customers and cashing checks, or referring customers to an officer for authorization to cash checks accepting saving deposits and withdrawals, verifying signatures balances cash daily with head/chief teller.
• Follows teller over/ short policy
• Promotes and maintain positive relations with all contacts, customers and potential customers.
• Comply with all bank policies and procedures.
• Preform as a team member in allocating and coordinating the work flow
• All other duties as assigned
• Operate as customer services: • Support and solve problems which face the pension tellers in the point of sale
• Help in deploy the new services in the government entities, accounting units and banks
• Assisting customers in filling technical forms and questionnaires
• Handling customers' relations and understanding the customers' needs.
For any inquiries please call me thru the below cell or e-mail me
janvier 2007
A mars 2014
teaching student
à institute social development
Responsibilities: teaching student in faculty of commerce
From 2007
Employer: institute social development (social fund for development)
From 2007
Employer: institute social development (social fund for development)
janvier 2005
A janvier 2008
Accountant, and auditor
à high institution for computer
Lieu :
Egypte
Position: Accountant, and auditor.
Responsibilities: • Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
• Financial records are maintained in compliance with accepted policies and procedures.
• Ensure all financial reporting deadlines are met.
• Prepare financial management reports.
• Ensure accurate and timely monthly, quarterly and year end close.
From 2006 -2010
Employer 1: Al Awaael Center courses
Position: Instructor (English Account subject)
Responsibilities: teaching student in faculty of commerce
From 2007
Employer: institute social development (social fund for development)
Position: Accountant and project manger
• Providing small loan for farmers and settlement products From 2009-2011
Employer: high institution for computer
Position: instructor
• Responsibilities: • Teaching taxes accounting subject
Responsibilities: • Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
• Financial records are maintained in compliance with accepted policies and procedures.
• Ensure all financial reporting deadlines are met.
• Prepare financial management reports.
• Ensure accurate and timely monthly, quarterly and year end close.
From 2006 -2010
Employer 1: Al Awaael Center courses
Position: Instructor (English Account subject)
Responsibilities: teaching student in faculty of commerce
From 2007
Employer: institute social development (social fund for development)
Position: Accountant and project manger
• Providing small loan for farmers and settlement products From 2009-2011
Employer: high institution for computer
Position: instructor
• Responsibilities: • Teaching taxes accounting subject
janvier 2006
A janvier 2007
Accountant and project manger
à institute social development
Lieu :
Egypte
From 2004 - 2005
Employer: Accounting office Ahmed Ali M alk
Employer: Accounting office Ahmed Ali M alk
janvier 2004
A janvier 2005
Accountant, and auditor
à Accounting office Ahmed Ali M alk
From 2004 - 2005
Employer: Accounting office Ahmed Ali M alk
Position: Accountant, and auditor.
Responsibilities: • Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
• Financial records are maintained in compliance with accepted policies and procedures.
• Ensure all financial reporting deadlines are met.
• Prepare financial management reports.
• Ensure accurate and timely monthly, quarterly and year end close.
Employer: Accounting office Ahmed Ali M alk
Position: Accountant, and auditor.
Responsibilities: • Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
• Financial records are maintained in compliance with accepted policies and procedures.
• Ensure all financial reporting deadlines are met.
• Prepare financial management reports.
• Ensure accurate and timely monthly, quarterly and year end close.
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