HATIM AMIN, accounting manager

HATIM AMIN

accounting manager

ABDUL LATIF JAMEEL COMPANY. ALJ, TOYOTA

Location
Saudi Arabia - Jeddah
Education
Bachelor's degree, Accounting
Experience
10 years, 8 Months

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Work Experience

Total years of experience :10 years, 8 Months

accounting manager at ABDUL LATIF JAMEEL COMPANY. ALJ, TOYOTA
  • Saudi Arabia - Jeddah
  • My current job since August 2013

- Taxes reporting “VAT, WHT & Zakat”, Preparation of Returns, uploading to GAZT system and respond to audit requests
- Leading ERP implementation “Oracle Fusion Finance & Sales Modules”
- Assisting IT department for Managing Oracle Fusion Master Data
- Preparing Financial set up and mapping for Oracle’s different modules (AP, AR, )
- Assisting the Finance Senior Financial Controller for Special Reporting Requests
- Support leadership team in conducting budgeting exercise for the business units including collation, consolidation and communication
- Ensure adherence to the budget at the head office level.
- Ensuring compliance with the Company Policies and Procedures.
- Ensuring an accurate, Timely Monthly, Quarterly and Year end closing.
- Monitoring and analyzing of Department Work load to develop more efficient procedures and use of resources while maintaining a high level of accuracy.
- Preparing Monthly Detailed Financial statement and P&L Statement.
- Coordinating and completing Quarter and Annual audit.
- Assisting in Development and Implementation of New Policies and Procedures to enhance workflow of the Company.
- Managing Day to Day Accounting Operation: (AR, AP, GL Reconciliation and Monthly Intercompany Reconciliation)
- Evaluating Profit and cost efficiency in Various Area of the Organization as needed.
- Reviewing Budget with actual Monthly for every Revenue and Cost Center and Submit Variance Report to top Management.
- Responsible for make Proper Analysis file for all financial Position Elements and make Proper Reporting to the Group CFO.
- Revising the Fixed Asset Register Monthly (Recording, Tagging, depreciation and Disposals)

ACCOUNTING MANAGER at ABDUL LATIF JAMEEL COMPANY. ALJ, TOYOTA
  • My current job since July 2019

Taxes reporting “VAT, WHT & Zakat”, Preparation of Returns, uploading to
GAZT system and respond to audit requests
- Leading ERP implementation “Oracle Fusion Finance & Sales Modules”
- Assisting IT department for Managing Oracle Fusion Master Data
- Preparing Financial set up and mapping for Oracle’s different modules (AP, AR, )
- Assisting the Finance Senior Financial Controller for Special Reporting Requests
- Support leadership team in conducting budgeting exercise for the business
units including collation, consolidation and communication
- Ensure adherence to the budget at the head office level.
- Ensuring compliance with the Company Policies and Procedures.
- Ensuring an accurate, Timely Monthly, Quarterly and Year end closing.
- Monitoring and analyzing of Department Work load to develop more efficient
procedures and use of resources while maintaining a high level of accuracy.
- Preparing Monthly Detailed Financial statement and P&L Statement.
- Coordinating and completing Quarter and Annual audit.
- Assisting in Development and Implementation of New Policies and Procedures
to enhance workflow of the Company.
- Managing Day to Day Accounting Operation: (AR, AP, GL Reconciliation and
Monthly Intercompany Reconciliation)
- Evaluating Profit and cost efficiency in Various Area of the Organization as
needed.
- Reviewing Budget with actual Monthly for every Revenue and Cost Center and
Submit Variance Report to top Management.
- Responsible for make Proper Analysis file for all financial Position Elements and
make Proper Reporting to the Group CFO.
- Revising the Fixed Asset Register Monthly (Recording, Tagging, depreciation
and Disposals)

SENIOR ACCOUNTANT at ABDUL LATIF JAMEEL COMPANY. ALJ, TOYOTA
  • July 2015 to July 2015

Conducting periodic reconciliation of all accounts to ensure their
accuracy.
- Dealing with banking operations (Letter of Guarantees, loans, and
other Banking Facilities).
- Securing sensitive financial information by completing database
backups.
- Preparing Bank Reconciliation of Variety of Bank Accounts.
- Communicating with the External Auditor and providing him with the
required Statements.
- Participating in Inventory and fixed assets Physical Counting.
- Reviewing, investigating, and correcting errors and inconsistencies in
financial entries, documents, and reports.
- Comparing Actual Results to budgeted, examining Variances and
helping in making corrective actions when necessary.
- Revising Customer Monthly invoices and Suppliers Payment.
- Revising Monthly Payroll Process, Reconciling Monthly Loan Balances.

Education

Bachelor's degree, Accounting
  • at Beni-Suef University
  • August 2012

Faculty of Commerce, Beni Suef University.

Specialties & Skills

Oracle ERP
Fixed Assets
Credit Control
BUDGETING
FINANCIAL
FIXED ASSET REGISTER
MANAGEMENT
RECORDING
FINANCE
FIXED ASSETS
PAYROLL PROCESSING
ACCOUNTANCY
AP STYLE

Languages

Arabic
Expert
English
Expert

Training and Certifications

CMA Candidate (Training)
Training Institute:
IMA
Date Attended:
August 2019

Hobbies

  • Bodybuilding
    For Self