Business Development officer
Al Habib
مجموع سنوات الخبرة :1 years, 2 أشهر
Maintaining general ledger accounts using Peachtree
Process payments, funds transfer, raising/issuing cheques
Reconcile accounts and customer services.
Interacted with clients/customers reference to financial transactions, & accounts.
Handle queries, resolve complaints and provide extra-ordinary customer service to satisfy HNW- High net worth clients.
Maintain service levels of the organization.
Provided operational support to clients and several internal units on DTD queries.
Maintain financial record and update clients/customers accordingly.
Monitor & report on outstanding accounts and update the records.
Maintain liabilities and assets aspects of clients’ accounts on a monthly basis.
Provide financial reports with actual, variance & budget comparison and Assist in the development of budget
Develop and maintain the SRSP cash flow budget and petty cash
Prepare monthly P&L- profit and loss statements for all projects.
Maintain and Back-up computerized information on a regularly basis Reconcile all accounts each month, to balance sheets.
Handling over all general accounting functions using FMS
B.B.A (Pass): 1nd Class (G.P.A 2.97) 2012