Mohammad Nael Hamdan, branch accountant

Mohammad Nael Hamdan

branch accountant

Automotive & Spare Parts Technical Trading Co. Ltd.

Location
Jordan - Amman
Education
Bachelor's degree, Accounting and business law
Experience
2 years, 5 Months

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Work Experience

Total years of experience :2 years, 5 Months

branch accountant at Automotive & Spare Parts Technical Trading Co. Ltd.
  • Iraq - Baghdad
  • My current job since December 2023

daily reconciliation of cash ledger
balances, ensuring accuracy and completeness.
Identity and resolve discrepancies promptly.
Prepare detailed reports on cash ledger
reconciliations.

Reconcile salesmen's accounts on a daily basis, verifying sales transactions and ensuring accurate recording.
Investigate and address any discrepancies or irregularities
.
Manage the branch petty cash fund, including
disbursements and replenishments.
Maintain accurate records of petty cash transactions and reconcile the fund regularly.

Oversee the collection of cash from salesmen
daily.

Ensure timely and accurate deposit of daily cash
collections into the company's bank accounts.

Maintain proper documentation and records of
cash collections and deposits.

Financial Accountant at Hayat Pharmaceutical Industries
  • Jordan - Amman
  • May 2023 to November 2023

Preparing and preparing financial reports and analyzing financial statements
Documenting movements, financial records, procurement and sales movements
Analyzing and summarizing the current financial situation of the company by collecting data and information, preparing budgets, income statements, profit and loss reports, revenues and expenses, and all other reports
Entering data and information into computer systems such as invoices, financial documents, restrictions, exchange orders, and all different accounts

Accountant at Dar Al Salam Company for Food Industries and Pickles
  • Jordan - Balqa
  • June 2022 to May 2023

Working on QuickBooks
Documents entries, records, vouchers of exchange, and all supporting papers related to them
company accounts
Classification and analysis of financial information and making accounting entries and settlement entries
- Analyzing the costs of preparing the necessary settlements for each of the banks’ accounts receivable
Accounts payable, the company, and the costs of sales and its entry
- Preparing monthly and periodic tax statements and following up on their settlements with the tax
Preparing the financial reports required by the company's chairman and director
general
Monthly closing of accounts in accordance with the requirements of monthly reports
- Ensuring that the internal procedures of the documentary cycle and rents are applied
Work through financial transaction entry
- Records purchases and sales according to official invoices.
Prepares the bank reconciliation memo, or the monthly interview for the bank's account.
- The fund's account is matched with the various accounts and statements on a daily basis.
The trial balance is prepared on a monthly basis.
Work with the external and internal auditor to facilitate their work tasks
- Follow up on the collection of receivables
Any tasks that are determined by the company’s chairman of the board of directors or the general manager

Accountant trainee at Al-Aswad Office for Consultation and Tax Services
  • Jordan - Amman
  • April 2021 to August 2021

Education

Bachelor's degree, Accounting and business law
  • at Al Al-bayt University
  • June 2021
High school or equivalent, علمي
  • at مدرسة عبدالله الهوني
  • August 2016

Specialties & Skills

tax returns
Microsoft office
time management
Teamwork
communication
Work under pressure
payroll

Social Profiles

Languages

Arabic
Native Speaker
English
Intermediate

Training and Certifications

Qualifying accountants for the labor market (Training)
Training Institute:
Science Caravan Academy
Duration:
72 hours

Hobbies

  • bike riding
  • playing football
  • landscape photography