Maged Saad, General Accountant

Maged Saad

General Accountant

Vector Training Center LLc

Location
United Arab Emirates - Dubai
Education
Higher diploma, Accounting
Experience
8 years, 5 Months

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Work Experience

Total years of experience :8 years, 5 Months

General Accountant at Vector Training Center LLc
  • United Arab Emirates - Abu Dhabi
  • My current job since December 2019

Accounts Receivable
- Issuing the invoices -Preparing Statement of Account” SOA”
o Accounts Payable
- Recording the bills of vendors on the system after ensuring that for all documents are complete.
o Preparing SOA of vendors to match the outstanding balance in our SOA
o Petty Cash
- Recording All Expenses -Assure of the expenses approved - Balance Settlement of petty cash holders
o Banking and Cash
- Recording all cheques (Payable or Receivable).
- Make bank reconciliation as monthly .
Reports
- Most of reports are related to the cost of centers as (costs allocation- cost limitation for overhead costs) or depend on management purposes.
o Employees Accruals
- Make monthly payroll of employees after make revision for (attendance and Over Time and any other decisions may be effected on payroll).
- Third Part Communications
1- Ministry of Labor 2- Institutional accreditation bodies in UAE ( ADWEA - ACTVET -QCC-Municipality of Abu Dhabi )
Purpose of Employees Visa Procedures - Attested our services - ISO Requirements

General Accountant at Inthar Safety and Security Systems Contracting
  • United Arab Emirates - Sharjah
  • March 2017 to August 2019

Junior Accountant - Mar. 2017 till Now
o Accounts Receivable
- Issuing the invoices as per the principals of Construction Accounting and VAT law.
- Preparing Statement of Account” SOA” to match between our statement balance and client’s
outstating balance and negotiate with clients in case of any variation.
o Accounts Payable
Responsibilities:

- Recording the bills of vendors on the system after ensuring that for all documents are complete.
- Preparing SOA of vendors to match the outstanding balance in our SOA in our system and Vendor’s outstanding balance and negotiate with the vendor around any variation.
o Petty Cash
- Recording All Expenses that have been spent by petty cash holders after being approved and identified for cost center.
o Banking and Cash
- Recording all cheques (Payable or Receivable).
- Make bank reconciliation as monthly .
- Maintaining daily cash entries at the System.
o Reports
- Most of reports are related to the cost of centers as (costs allocation to the current projects - cost limitation for overhead costs).
- Supported reports to the management and Accounting department.
The reporters are required for (The annual/ quarter/ monthly planning for End of services and Leave Salary).
- Supported reports required to be submitted to other departments related to (the cost centers/ employees Information).
- Make Plan regarding the annual leave for the employees overall (labor and employees).
o Employees Accruals
- Preparing The accruals of employees as (Salary Slip - Annual leave Salary - End of Services) all of those as per the law of labor.
- Make monthly payroll of employees after make revision for (attendance and Over Time and any other decisions may be effected on payroll).
- Updating
- Maintaining for Matrix HR System and updating that happened related to the employees as (Incremental - Promotion - Fines - Penalties - Creating or dilation any employee).

Senior Accountant at Delta Agricultural Development
  • Egypt - Alexandria
  • October 2015 to February 2017

Day to day revision on cash on hand and daily expenses ( ensure from “Authorized signatures -
Supported documents -Proper costs allocation “
- Monitoring and Auditing Periodically to The Inventory Account (periodically counting, follow and
allocate the items which spend on the cost centers and ensure the custody of store keeper and take a
proper way about any variation ).
- Monitoring and Auditing of Account Payable and receivable
- Revision the supported documents, comparison of the SOA and solving any variation
- Follow up the PO until complete from vendor side and items received in our warehouse
- Follow up the collection from client with responsible person
- Monitoring and Auditing of the banking statement
- Staff Monthly Payroll
-
- Involved at the annual committee to examining our assets and estimate the Fair Evaluation.
- Involved to prepare annual financial statements
- Reporting direct to management and accounting department around :-
- The cash flow as per the expected revenue and expenses.
- The allocate costs to cost centers to ensure from the compliance with our budgeting.
- Production performance as per our budgeting and total expenses allocated
- Comprehensive report about Overhead and direct costs (Monthly - Quarterly)

Education

Higher diploma, Accounting
  • at ACCA
  • January 2023
Higher diploma, Good
  • at Almansoura University
  • November 2018

Pre-Master for Accounting and Auditing

Bachelor's degree, Commerce
  • at Alexandria University
  • January 2010

. in

Specialties & Skills

Petty Cash
Accounts Payable
Accounts Receivable
QuickBooks
Payroll
Petty cash
Payroll WPS
Focus SYS
Quickbooks
Matrix HR
HR Handling
Accounts Receivable
BANK RECONCILIATION
Reporting
Leave Salary and Gratuity
Accounts Payable
Real Estate
Al ameen SYS
VAT UAE
Contracting
Constriction
INVENTORY ACCOUNTS
VENDORS AND SUPPLIERS RECONCILIATION
CLIENTS AND CUSTOMERS RECONCILIATION
INVOICES AND BILLS HANDLING

Social Profiles

Personal Website
Personal Website

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Languages

Arabic
Expert
English
Expert

Training and Certifications

CMA I (Training)
Training Institute:
Institute of Management Accountants
Date Attended:
October 2023
Diploma in IFRS (Certificate)
Date Attended:
January 2023