Hatim Nahali, Senior Accountant & Cost Controller

Hatim Nahali

Senior Accountant & Cost Controller

Leto Cafe (Al Najah Company)

Lieu
Koweït
Éducation
Master, Corporate Finance
Expérience
14 years, 9 Mois

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Expériences professionnelles

Total des années d'expérience :14 years, 9 Mois

Senior Accountant & Cost Controller à Leto Cafe (Al Najah Company)
  • Koweït - Al Farawaniyah
  • Je travaille ici depuis octobre 2018

Accounting & Finance
•Monthly Finalization of Accounts bypassing and Reviewing the accrual entries & passing the adjustments
•Reconcile daily sales manifest in the system with actual cash remittance by service centers and ensure that all collections are remitted on time
•Reconcile K-Net and credit card collection and follow up with the bank for the outstanding amounts on time to avoid any write-offs.
•Handling of Payable and Receivable Management of clients.
•Handling the payment procedure for local and overseas suppliers and exercise internal controls. Processes payments/checks after verifying the validity, completeness, and correctness of supporting documents including compliance with contract/POs terms & conditions
•Fixed Asset management by maintaining a fixed Asset register and preparing asset depreciation schedule monthly.
•Handling payroll processing ensuring that salary and benefit payment is effected accurately.
•Handles the prepaid expenses, accruals, deferred charges, and Fixed assets depreciation schedules and ensure recording the figures on a monthly basis
•Prepare the closing and adjustments entries for the period/year-end
•Excellent Command over maintaining inventories.

Senior Accountant & Cost Controller à NAPKIN AFFAIRS GEN. TRAD. CO
  • Koweït - Al Koweït
  • août 2017 à septembre 2017

Accounting & Finance
•Monthly Finalization of Accounts bypassing and Reviewing the accrual entries & passing the adjustments
•Reconcile daily sales manifest in the system with actual cash remittance by service centers and ensure that all collections are remitted on time
•Reconcile K-Net and credit card collection and follow up with the bank for the outstanding amounts on time to avoid any write-offs.
•Handling of Payable and Receivable Management of clients.
•Handling the payment procedure for local and overseas suppliers and exercise internal controls. Processes payments/checks after verifying the validity, completeness, and correctness of supporting documents including compliance with contract/POs terms & conditions
•Fixed Asset management by maintaining a fixed Asset register and preparing asset depreciation schedule monthly.
•Handling payroll processing ensuring that salary and benefit payment is effected accurately.
•Handles the prepaid expenses, accruals, deferred charges, and Fixed assets depreciation schedules and ensure recording the figures every month
•Prepare the closing and adjustments entries for the period/year-end
•Excellent Command over maintaining inventories.

corporate accountant à Yusuf A. Alghanim & Sons
  • Koweït - Al Koweït
  • avril 2012 à août 2017

Handling Indirect Cash Collection, Bank Reconciliation, Handling Inter and Intra Companies Transactions, Passing monthly Closing Entries, Cost Allocation, Fixed Assets Registered, Supplier Payment Schedules, Payment Tracker.

Accountant à TAG Group
  • Koweït - Al Farawaniyah
  • août 2010 à juin 2012

Accounting & Finance
•Monthly Finalization of Accounts by passing and Reviewing the accrual entries & passing the adjustments
•Reconcile daily sales manifest in the system with actual cash remittance by service centers and ensure that all collections are remitted on time
•Reconcile K-Net and credit card collection and follow up with bank for outstanding amount on time to avoid any write-offs.
•Handling of Payable and Receivable Management of clients.
•Handling the payment procedure for local and overseas suppliers and exercise internal controls. Processes payments/checks after verifying the validity, completeness, and correctness of supporting documents including compliance with contract/POs terms & conditions
•Fixed Asset management by maintaining fixed Asset register and preparing asset depreciation schedule monthly.
•Handling payroll processing ensuring that salary and benefit payment are effected accurately.
•Handles the prepaid expenses, accruals, deferred charges and Fixed assets depreciation schedules and ensure recording the figures on monthly basis
•Prepare the closing and adjustments entries for the period/year end
•Excellent Command over maintaining inventories.

Corporate Accountant à Premal Gandhi & Co
  • Inde - Pune
  • mai 2010 à octobre 2010

Accounting & Finance
•Monthly Finalization of Accounts by passing and Reviewing the accrual entries & passing the adjustments
•Reconcile daily sales manifest in the system with actual cash remittance by service centers and ensure that all collections are remitted on time
•Reconcile K-Net and credit card collection and follow up with bank for outstanding amount on time to avoid any write-offs.
•Handling of Payable and Receivable Management of clients.
•Handling the payment procedure for local and overseas suppliers and exercise internal controls. Processes payments/checks after verifying the validity, completeness, and correctness of supporting documents including compliance with contract/POs terms & conditions
•Fixed Asset management by maintaining fixed Asset register and preparing asset depreciation schedule monthly.
•Handling payroll processing ensuring that salary and benefit payment are effected accurately.
•Handles the prepaid expenses, accruals, deferred charges and Fixed assets depreciation schedules and ensure recording the figures on monthly basis
•Prepare the closing and adjustments entries for the period/year end
•Excellent Command over maintaining inventories.
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Name of the

Accounts Executive
  • mai 2008 à janvier 2010

Accounts and Audit Function
•Bank Reconciliation.
•Assisting in Audit Functions.
•Reconciling financial statements of Client’s with Trial Balance.
•Maintaining Cash Book and Petty cash Book.

Éducation

Master, Corporate Finance
  • à Sikkim University
  • juin 2012

Master Of Business Administration (MBA) Specialized in Finance.

Specialties & Skills

Finance
Reporting
Payroll
Petty Cash
Payroll Processing
BALANCE
BANK RECONCILIATION
CUSTOMER RELATIONS
FINANCIAL STATEMENTS
RECONCILING
ACCOUNTANCY
ACCRUALS
ADMINISTRACIóN DE BENEFICIOS
ASSET MANAGEMENT

Langues

Arabe
Expert
Anglais
Expert

Loisirs

  • painting , Drawing , Travelling
  • Painting , Drawing , Travelling