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Khaled Haloush, Senior Officer

Khaled Haloush

Senior Officer·Ahli bank of kuwait

Kuwait

Bachelor's degree, Accounting

Work experience

Total years of experience: 21 years, 6 months

Senior Officer

July 2018 - Present

Ahli bank of kuwait

Al Kuwait, Kuwait

July 2018 - Present

• Prepares Balance Sheet, Income Statement, Statement of Cash Flow yearly and Quarterly.
• Prepares Monthly Trial Balance Report, Account Receivables, Accounts Payables, Debit Ageing Analysis, General & Administrative Expenses Reports, Operating and Cost Accounting record preparation.
Maintains Monthly Banks, Agents, And Related Parties Account Reconciliations.
• Prepares Monthly Pay Roll, Leave Salary, Maintain Annual Staff Indemnity & Leave Records and Prepares Final Entitlements & Settlements.
• Maintain records of Property & Equipment, Provision for Depreciation and Accumulated Depreciation.
• Ensure monthly, quarterly & yearly accounts closing as per deadline given by Executive Management
• Bank reconciliation & Preparation of bank payment vouchers & cheques.
• Any other work assigned by the Head Office.

Company industry:
Banking
Job role:
Banking

Senior Accountant

August 2017 - July 2018

Arabia Insurance Co

Hawali, Kuwait

August 2017 - July 2018

• Cash Controller & Bank Reconciliations.
• Ensure timely payment to Creditors.
• Prepares Balance Sheet, Income Statement, Statement of Cash Flow yearly and Quarterly.
• Prepares Monthly Trial Balance Report, Account Receivables, Accounts Payables, Debit Ageing Analysis, General & Administrative Expenses Reports, Operating and Cost Accounting record preparation.
Maintains Monthly Banks, Agents, And Related Parties Account Reconciliations.
• Prepares Monthly Pay Roll, Leave Salary, Maintain Annual Staff Indemnity & Leave Records and Prepares Final Entitlements & Settlements.
• Prepares Payments to Garages, Brokers commission.
Maintain records of Property & Equipment, Provision for Depreciation and Accumulated Depreciation.
• Ensure monthly, quarterly & yearly accounts closing as per deadline given by Executive Management
• Bank reconciliation & Preparation of bank payment vouchers & cheques.
• Follow up with customers for payments.
• Monthly Reconciliation of Supplier / Agent Accounts.
• Prepares Monthly Ministry report.
• Prepare quarterly central bank report.
• Any other work assigned by the Head Office.

Company industry:
Insurance & TPA
Job role:
Accounting and Auditing

Senior Accountant

February 2016 - August 2017

Hamat International Real Estate Co

Al Kuwait, Kuwait

February 2016 - August 2017

• Prepares Monthly Pay Roll, Leave Salary, Maintain Annual Staff Indemnity & Leave Records and Prepares Final Entitlements & Settlements.
• Bank reconciliation & Preparation of bank payment vouchers & cheques.
• Prepares Balance Sheet, Income Statement yearly and Quarterly.
• Cash Controller & Bank Reconciliations

Company industry:
Real Estate
Job role:
Accounting and Auditing

Accountant

July 2012 - January 2016

Kuwait Qatar Insurance Company

Al Kuwait, Kuwait

July 2012 - January 2016

• Accounts receivable Controller. • Prepare the Ageing Analysis. • Ensure timely Collection from clients. • Prepare the clients account Reconciliations if need it. • Prepare MMR (Monthly Management Report). • Prepare Bank Reconciliation.

Company industry:
Insurance & TPA
Job role:
Medical, Healthcare, and Nursing

Accountant

September 2006 - June 2012

Aayan Leasing & Investment Co.

Hawali, Kuwait

September 2006 - June 2012

• Cash Management & Bank Reconciliations.
• Maintenance of supplier ledger.
• Ensure timely payment to suppliers.
• Verification of supplier invoices with material/Services received.
• Coordination with cashier for payments.
• Prepares Balance Sheet, Income Statement, Statement of Cash Flow yearly and Quarterly.
• Prepares Monthly Trial Balance Report, Account Receivables, Accounts Payables, Debit Ageing Analysis, General & Administrative Expenses Reports, Operating and Cost Accounting record preparation.
Maintains Monthly Banks, Agents, And Related Parties Account Reconciliations.
• Prepares Monthly Pay Roll, Leave Salary, Maintain Annual Staff Indemnity & Leave Records and Prepares Final Entitlements & Settlements.
• Prepares Payments to Agents, Suppliers and Creditors.
Maintain records of Property & Equipment, Provision for Depreciation and Accumulated Depreciation.
• Maintain Chart of accounts.
• Ensure monthly/yearly accounts closing as per deadline given by Executive Management
• Bank reconciliation & Preparation of bank payment vouchers & cheques.
• Follow up with customers for payments.
• Monthly Reconciliation of Supplier / Agent Accounts.
• Assisting the monthly physical stock.
• Any other work assigned by the department head.

Company industry:
Other Business Support Services
Job role:
Accounting and Auditing

Auditor

January 2005 - September 2006

First Audit Office

Al Kuwait, Kuwait

January 2005 - September 2006

* Audit the financial statements.

Company industry:
Accounting
Job role:
Accounting and Auditing

Education

Al Israa Privet University

September 2004

September 2004

Bachelor's degree, Accounting

Jordan

GPA (percentage): 62%

GPA (percentage): 62%

Bachelor of Commerce – (Accounting) - Al Israa University- Jordan (2004).

Skills

Preparation

Expert

Physical

Expert

Agents

Expert

Executive Management

Expert

Balance

Expert

Highly proficient in MS Office Suite-Word, Excel, Great Planes (GP), Oracle E-Business Suite.

Expert

Time Management

Expert

Balance

Expert

Executive Management

Expert

Agents

Expert

Physical

Expert

Preparation

Expert

Languages

Arabic

Expert

English

Expert

Training and Certifications

Training
 Skills of preparing the financial statements for Kuwait share holding companies as of internationa
First Audit Office
May 2006

Hobbies and interests

Interesting in Computer sciences