Total Years of Experience: 12 Years, 6 Months
January 2020
To Present
Chief Accountant
at SAMA MEP
Location :
Saudi Arabia - Riyadh
Prepare all financial statements (Balance Sheet-Income Statement-Statement Of Cash Flow- Statement of changes in equity).
Prepare & submit VAT return.
-Monitor all prepaid and accrual expenses monthly
-Cash flow management
-Manage budgeting, forecasting and analysis of variances for all company department and for all projects separate
-Monitoring all the projects cost
-Inventory Control
Prepare & submit VAT return.
-Monitor all prepaid and accrual expenses monthly
-Cash flow management
-Manage budgeting, forecasting and analysis of variances for all company department and for all projects separate
-Monitoring all the projects cost
-Inventory Control
November 2016
To December 2019
Chief Accountant
at Naif Al-Rajhi Investment Group
Location :
Saudi Arabia - Riyadh
Financial Reporting.
Accounts Payable/Accounts Receivable.
Bank & Statement Reconciliations.
Forecasting.
Business Analysis.
Cash Allocations.
Cash Management.
Inventory Control
Accounts Payable/Accounts Receivable.
Bank & Statement Reconciliations.
Forecasting.
Business Analysis.
Cash Allocations.
Cash Management.
Inventory Control
November 2013
To November 2016
Senior Accountant
at شركة المنظومة الموحدة المحدودة
Location :
Saudi Arabia - Riyadh
Complete general ledger operations.
Audits and prepares journal entries for various accounting transaction.
Prepare Monthly financial closing.
Prepare Annual adjustment entries.
Monitor all prepaid and accrual expenses monthly
Monitoring & resolve all bank issues directly with bank personals.
Prepare all requirements & open L/C, L/G & Facilities Bank.
Review and submit Bank salary sheet - 800 Employees.
Bank reconciliation.
Responsibility of the treasurer for a period
Cash flow management.
Audits and prepares journal entries for various accounting transaction.
Prepare Monthly financial closing.
Prepare Annual adjustment entries.
Monitor all prepaid and accrual expenses monthly
Monitoring & resolve all bank issues directly with bank personals.
Prepare all requirements & open L/C, L/G & Facilities Bank.
Review and submit Bank salary sheet - 800 Employees.
Bank reconciliation.
Responsibility of the treasurer for a period
Cash flow management.
Share on Facebook
Share on Twitter
Share Via Email