Assistant Manager
PricewaterhouseCoopers
Total years of experience :13 years, 8 Months
• Reviewing bank reconciliations and monthly closing of cash and banks 12 companies
• Reviewing and preparing property, plant and equipment additions, disposals and depreciation and monthly closing of property, plant and equipment
• Preparing loan schedules based on effective interest rate calculations and monthly closing of loans and borrowings module
• Preparing and reviewing financial statements for
• Maintain ledger accounts for 12 companies of the group, monthly closing, issuing quarterly consolidated management accounts and final financial statements
• Being a focal point in communicating with system maintenance providers to resolve System related issues
• Proposing and introducing a new accounting perspective to the finance department to obtain desirable results.
Lead audit engagements including planning, performing field work, preparing audit reports, compiling financial statements, liaising between clients’ management and firm’s management and ensuring deliverables meet work plan specifications and deadlines.
•Document and evaluate client’s significant manual and computerized systems and procedures, overall business operations and industries; use this knowledge in audit work and develop awareness of significant problems and opportunities in our client’s operations.
•Perform audit procedures in compliance with generally accepted auditing standards to support the Firm’s opinion on the financial statements of the client.
•Analyze and explain certain significant information acquired from the client for purposes of identifying issues and important matters.
•Assist in the preparation of financial statements, reports, tax returns, management letters and other relevant documentations.
•Perform consolidation procedures in the preparation of consolidated financial statements.
•Develop insight and apply theory and principles of accounting, and the objectives, standards and procedures of auditing to client situations.
•Lead audit engagements including planning, performing field work, preparing audit reports, compiling financial statements, liaising between clients’ management and firm’s management and ensuring deliverables meet work plan specifications and deadlines.
•Document and evaluate client’s significant manual and computerized systems and procedures, overall business operations and industries; use this knowledge in audit work and develop awareness of significant problems and opportunities in our client’s operations.
•Perform audit procedures in compliance with generally accepted auditing standards to support the Firm’s opinion on the financial statements of the client.
•Analyze and explain certain significant information acquired from the client for purposes of identifying issues and important matters.
•Assist in the preparation of financial statements, reports, tax returns, management letters and other relevant documentations.
•Perform consolidation procedures in the preparation of consolidated financial statements.
•Develop insight and apply theory and principles of accounting, and the objectives, standards and procedures of auditing to client situations.
Certified public accountant from the new hampshire board of accountancy
2007 - 2010 Hariri Canadian University (HCU) Mechref, Lebanon Bachelor in Business Accounting and Finance • Graduated with distinction and cumulative average of 89.5%
2006 - 2007 Hassan Kamil Sabbah High School Nabatieh, Lebanon Lebanese Baccalaureate in General Sciences (with high distinction)