Hossam Badawy, Senior A/R Accountant

Hossam Badawy

Senior A/R Accountant

Jarir Bookstore

Location
Saudi Arabia - Jeddah
Education
Bachelor's degree, Accounting
Experience
25 years, 1 Months

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Work Experience

Total years of experience :25 years, 1 Months

Senior A/R Accountant at Jarir Bookstore
  • Saudi Arabia - Jeddah
  • My current job since August 2003

• Working on ERP - Oracle (J.D. Edwards Application) on AS400.
• Handled full financial roles e.g. Accounts Receivable, Accounts Payable, General Ledger.
• Responsibilities of General Ledger month-end close entries and reconciliation & presentation of the Balance Sheet & Income Statement.
• Implement and regulate credit control policy and procedure.
• Monitor major Customer Accounts and ensure reconciled monthly.
• Following up the Receivables, discuss aging and due payments with salesmen.
• Manage monthly and yearly reporting for credit and receivables.
• Prepare Monthly Employees Salary’s Deductions.
• Preparing monthly Bank Reconciliation and following up pending issues.
• Ensure compliance with company’s Internal Control Policies.
• Prepare Variance Analysis at Management request.

External Auditor at Mostafa Shawki & CO (Deloitte & Touché)
  • Egypt - Alexandria
  • October 1999 to May 2003

Auditing firm (one of the big 4 auditing firm: Deloitte & Touché)

Responsibility:
• Conducting external audit services to companies with industries such as export-import, retailing and wholesaling, trading, financing companies, and service oriented companies
like Sumed, Marlboro, Metro, Media Production City, Nile Sat, Arab Bank, etc.
• Examines and analyzes accounting records to determine financial status of establishment and prepares financial reports concerning operating procedures: Reviews data regarding material assets, net worth, liabilities, capital stock, surplus, income, and expenditures.
• Inspects items in books of original entry to determine if accepted accounting procedure was followed in recording transactions.
• Counts cash on hand, inspects notes receivable and payable, negotiable securities, and cancelled checks.
• Verifies journal and ledger entries of cash and check payments, purchases, expenses, and trial balances by examining and authenticating inventory items.
• Prepares reports for management concerning scope of audit, financial conditions found, and source and application of funds.
• Preparing financial statement and Profit & Loss Report.
• Participating in evaluating internal control through tests of controls and providing management letter.
• Assisting in preparing Final Audit Report.

Cashier, Night Auditor at Conrad International Hurgada Resort
  • Egypt - Hurghada
  • February 1999 to September 1999

Responsibility:
• Working with Fidelio system.
• Collecting checks at night from cashiers and posting it.
• Closing day shift of the Hotel.

Education

Bachelor's degree, Accounting
  • at Alexandria University
  • May 1998

Faculty of Commerce, Accounting Department

Specialties & Skills

Accounting
Auditing
ACCOUNTS PAYABLE
ACCOUNTS RECEIVABLE
BALANCE
BANK RECONCILIATION
BUDGETING
COST ACCOUNTING
DATABASE ADMINISTRATION

Languages

Arabic
Expert
English
Expert

Training and Certifications

Sun Microsystems Certification for Java Programming (Certificate)
Date Attended:
October 2001
Valid Until:
January 9999
Preparing CMA (Certificate)
Valid Until:
January 9999

Hobbies

  • Reading