jihad alsaifi, Accounting Department –Supervisor

jihad alsaifi

Accounting Department –Supervisor

TGS Al Essa Audit Firm

Lieu
Koweït - Hawali
Éducation
Baccalauréat, accounting
Expérience
11 years, 6 Mois

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Expériences professionnelles

Total des années d'expérience :11 years, 6 Mois

Accounting Department –Supervisor à TGS Al Essa Audit Firm
  • Koweït - Al Koweït
  • Je travaille ici depuis avril 2021

Familiar with managing schedules, directing teams, and overseeing closing processes. Well-versed in GAAP, ledger updates and report writing. Exceptional interpersonal, communication, and multitasking abilities, Adept at managing budgets, payroll, invoicing, and all other general accounting functions. Instrumental in keeping business operations fully compliant and working within budgetary guidelines. Fastidious in tracking all expenses and reconciling accounts.

 Oversees Accounting operations, which include financial accounting, accounts payable, and payroll.
 Recruits and hires Accounting staff and conducts performance evaluations.
 Implements training for new hires and identifies training opportunities for current staff.
 Oversees the preparation of periodic financial statements and the corporate annual report.
 Ensures that financial reports comply with generally accepted accounting principles or financial reporting standards.
 Assists external auditors and provides required statements and information for the annual audit
 Reviews budget reports and assists other departments to prepare annual budgets.

Senior Accountant à Sawsan Catering Company
  • Koweït - Al Koweït
  • novembre 2018 à mars 2021
Accountant à Arizona National General Trading & Contracting Co.
  • Koweït - Al Farawaniyah
  • mai 2016 à novembre 2018

Duties:
⦁ Maintaining general ledger, including preparing general entries, coding invoices, reconciliation, closing books monthly.

⦁ Reconciles monthly bank statements, verifies all deposits, handles discrepancies and problems.

⦁ Oversees accounts receivables collection from individual/institution and reconciles customer accounts.

⦁ Updates records for fixed assets and all other financial documents as necessary.

⦁ Prepare statements salaries

⦁ Prepare bank reconciliations

⦁ Follow-up of receivables and payables and Prepare checks to suppliers.

⦁ Prepare depreciation entries

⦁ Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.

Accountant à Abhar catering co.
  • Koweït - Al Farawaniyah
  • mai 2015 à avril 2016

Duties:
⦁ Maintaining general ledger, including preparing general entries, coding invoices, reconciliation, closing books monthly.

⦁ Reconciles monthly bank statements, verifies all deposits, handles discrepancies and problems.

⦁ Oversees accounts receivables collection from individual/institution and reconciles customer accounts.

⦁ Updates records for fixed assets and all other financial documents as necessary.

⦁ Documents financial transactions by entering account information.

⦁ Secures financial information by completing data base backups.

⦁ Prepare statements salaries

⦁ Prepare bank reconciliations

⦁ Follow-up of receivables and payables and Prepare checks to suppliers.

⦁ Verification of peti cash expenses and other expenses as the internal policy of the company.

⦁ Provide management with financial reports.

⦁ Prepare depreciation entries

Accountant à emerging markets for financial services and investment
  • Jordanie - Amman
  • septembre 2012 à février 2015

Duties:
⦁ Maintaining general ledger, including preparing general entries, coding invoices, reconciliation, closing books monthly.

⦁ Reconciles monthly bank statements, verifies all deposits, handles discrepancies and problems.

⦁ Oversees accounts receivables collection from individual/institution and reconciles customer accounts.

⦁ Assists external auditors at year end including preparation of schedules, invoices and explaining supporting materials and procedures.

⦁ Updates records for fixed assets and all other financial documents as necessary.

⦁ Secures financial information by completing data base backups.

⦁ Prepares payments by verifying documentation, and requesting disbursements.

⦁ Handling all the cash transaction of an organization.

⦁ Providing training and assistance to new joined cashier.

Éducation

Baccalauréat, accounting
  • à Science University
  • août 2012

• B.Sc. accounting with 'Good' GPA, applied Science University, Amman, Jordan. Particularize Course • Attending training course from emerging markets for financial services & investment co. Amman. Jordan

Etudes secondaires ou équivalent, scientific stream
  • à The Secondary Education
  • juillet 2007

• The Secondary Education for 2007. Scientific stream

Specialties & Skills

Accounting
Banking
account
Major Accounts
Microsoft Excel
OUTLOOK
PowerPoint
internet

Langues

Arabe
Expert
Anglais
Moyen

Formation et Diplômes

accounting and customer service (Formation)
Institut de formation:
aswaq invest
Date de la formation:
September 2012
Durée:
165 heures

Loisirs

  • Reading , sport
  • Reading