Accountant
Jeraisy Computer & Communication Services
مجموع سنوات الخبرة :36 years, 8 أشهر
DURING THIS PERIOD WORKED AS AN ACCOUNTANT AND CASHIER AND SALES SUPPORT.
P.O. Box 62640, Riyadh-11595, Saudi Arabia
Jeraisy Computer & Communication services (JCCS) are one of the subsidiaries of the Jeraisy Group of Companies which focuses on marketing high technology solution to the Saudi Arabian market. JCCS has its head office in Riyadh and three regional offices located in Riyadh, Jeddah and Al Khobar. Each of these regional offices has its own sales,
WORKED AS A ACCOUNTANT AND STORE KEEPER AND OTHER SECRETARIAL DUTIES.
Riyadh Branch.
Duties and Responsibilities
•Control costing of imported merchandise to determine the selling price for profitable operation of the company, taking into consideration the competitive thrust of local market.
•Generate monthly report and provide financial statements to the management covering all aspect of the firm's performances.
•Help the financial controller in preparation of financial statements and supervise junior staff.
•Arrange payment term with vendors, letter of credits, account payable and account receivable.
•Responsible for the preparation of invoice application forms.
•Designing chart of accounts, preparation of business plan, cash flow, review of financial aspects for progressive tenders, evaluate customers for credit facility, control preparation of monthly payroll.
•Responsible for the preparation of Inspection records on the basis of the bill of quantity.
•Preparation of feasibility reports on various projects.
•Invoice verification and submission to audit section for internal use.
•Complete control of stocks, collection and fixed assets.
•Responsible for maintaining sales & its receivables as well as cash and credit sales invoices.
•Maintaining of sales accounts and keep track of records related to sales.
•Preparation & issue of cheques, maintaining of bank books & reconciliation of bank account with computer records.
•Maintaining of the records related to individual sales of all the company's salesmen.
•Controlling of all the branch's finance sales collections.
•Handling of custom duty issues related to shipments.
•Co-ordinate with shipment clearing agent regarding shipping documents.
•Supervising of branch stock.
•Independently handling of major vendors like Sun Micro systems, Apple Computers B.V., Microsoft B.V
Hitachi Data Systems, MGE France & US accounts, Cisco systems international B.V.& Oracle systems.
Al- Sadiq Trading & Importing Est
Auditing of all kind of Books of account.
•Auditing of expenditure accounts.
•Auditing payable accounts
The companies audited include Lakshime Feeds Pvt. Ltd. Its yearly turnover exceeds 30 Million Indian Rupees, Karnataka Hajj Committee and Jamia Masjid Banagalore.
courses: Karnataka India, with Advanced accounts, Company Law and Secretarial Practice, Banking Theory and Practice, Auditing, Mercantile and Industrial Law and Industrial Organization and Business Management
India with Accountancy, Commercial correspondences and commercial geography as special subjects.