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تم إلغاء حظر المستخدم بنجاح
محمد Munazzam Hussain, Finance Manager

محمد Munazzam Hussain

Finance Manager·Dr. Abdul Rahman Al Mishari Hospital

المملكة العربية السعودية

ماجستير, Computer Application

الخبرة العملية

مجموع سنوات الخبرة: 22 سنوات, 10 أشهر

Finance Manager

سبتمبر 2018 - حتى الآن

Dr. Abdul Rahman Al Mishari Hospital

الرياض، المملكة العربية السعودية

وجدت هذه الوظيفة عبر بيت.كوم

سبتمبر 2018 - حتى الآن

• Preparation of Financials (Balance Sheet / P&L / Income Statement / Equity / Cash Flow / Zakat / etc...) and follow up with Auditors until the final reports are updated on GZAT, Saudi Arabia Ministry of commerce & Industry web site.
• Ensure that all financial transactions are conducted within the legal and contractual framework, that all internal and external reports are met, ensure integrity of cash, receivables and payable management, and ensure stock management
• Execute all major financial transactions
• Enforce financial discipline/guidelines and controls within the organization
• Efficiently manage the Treasury activities
• Ensure all the claims are send to the concerns on time.
• Ensure the availability of funds for payments of Government / Suppliers / administrative management of the local staff (payroll, visa’s etc.)
• Monitor the performance of the business against the annual budget and long-term business plan
• Automated, develop financial models and feasibility studies with regards to expansion opportunities
• Automated, develop, maintain, and where necessary, improve financial systems to facilitate management decision-making
• Develop relationships with local banks, customers, local authorities and other specific partners
• Automated, design and implement processes to give business managers the necessary financial data to make decisions and monitor performance.
• Build finance department capability by automating the department processes.
• Support effective development and performance of staff
• Be the contact person from Finance Department for all other department related matters
• Follow Group guidelines and policies
• Refine and implement financial controls, policies and procedures.
• Automated Live Interactive Dashboard report to monitor actual performance against budget and financial analysis.
• Responsible for updates of the automated Live Interactive Dashboard for management reporting and to maintain accuracy of the data.
• Manage the monthly closing and reporting of full financials, budgeting and forecasting & update the Automated Live Interactive Dashboard.
• Liaise with banks on project funding facility, external auditors, zakat authorities and external parties
• Conducts the analysis of the company’s financial statements e.g. Balance sheets, P & L Accounts, liquidity status, cash flows, growth potential and the business model of potential borrower companies that approach for facilities to determine their financial standing and assess their creditworthiness for grant of the facility.
• Visits the potential client’s company site to gather information about the company status, or clarify issues of relevance to the credit application “Know Your Customer”
• Evaluates credit proposals, scrutinize documents and conduct telephone verification within the defined credit policies ensuring good quality (error-free) of credit underwriting and documentation
• Conducts a thorough scrutiny of the documents submitted to ensure they are complete and are in order as per the approved documentation policy and highlights any discrepancies within agreed turn-around time
• Maintains the credit files to ensure that all proper signatures and profiles are kept for easy retrieval and reference
• Reviews and approves the core report listing the company profile, facility requested and the proposal for approval or disapproval of the requested service in order to provide the approving committee concerned an executive summary of the analysis
• Reviews and processes a fully secured one time facility in order to expedite the release of credit line to applicants
• Reviews and approves the analysis conducted for a company profile of prospective clients in order to widen client base and market share

مجال الشركة:
المستشفيات الطبية
الدور الوظيفي:
المحاسبة والتدقيق

Senior Accounting Member

أبريل 2018 - أغسطس 2018

Computer World International

المنامة، البحرين

وجدت هذه الوظيفة عبر بيت.كوم

أبريل 2018 - أغسطس 2018

Financials:
• Month-end, quarter-end closing - Conducting regular General ledger closings.
• Monthly / Quarterly balance sheet and P & L Fluctuation Analysis (Company / Cost Centre / Department)
• Balance sheet accounts reconciliations & monthly expense variance analysis.
• Reconciling / Posting the information to General Ledger coming from Modules Payroll / AP / Cost Management / AR
• Updating information for Movements & Schedules
• Providing Exchange Rates for Inter Company (Saudi Arabia & Bahrain)
• Consolidation, inter-company transactions with reconciliations / Elimination entries / Translation Adjustment / Non-controlling interest
• Responsible for inter-company accounting in line with accounting standards and internal policies (Debit / Credit Notes)
• Responsible for providing the Reporting Team the Group Consolidation Trail Balance.
• Ensure accuracy of financial statements in accordance with SOCPA / GAAP / IFRS and compliance to internal company policies.
• Responsible for carrying out regular analysis and reporting activities.
• Perform the essential day-to-day and month-end activities required for accurate reporting.
• Responsible for maintaining all documents related to Manual JV’s.
• Responsible for Accruals & Actuarial.
• Responsible for liabilities and non-cash-based assets (Accruals/prepayments).

مجال الشركة:
خدمات تكنولوجيا المعلومات
الدور الوظيفي:
المحاسبة والتدقيق

Chief Accountant

يونيو 2017 - مارس 2018

Creative Systems Company

الرياض، المملكة العربية السعودية

وجدت هذه الوظيفة عبر بيت.كوم

يونيو 2017 - مارس 2018

VAT Implementation
• To provide a comprehensive Tax advisory and training service to all relevant persons, and in particular to prepare VAT returns promptly in order to maximize cash flow benefits to the County Council and avoid errors and penalties.
• To keep abreast of current developments relating to VAT and other taxation issues and to ensure that appropriate staff is kept informed.
• To continuously review and monitor the adequacy of systems, procedures and other relevant records to ensure compliance with VAT and other taxation Regulations.
• To develop a strategy to maximize the Authority’s VAT position and to take preventative action to avoid penalties and interest charges.
• To maintain the Council’s Basic Information and Guidelines document and provide relevant guidance tailored to individual user requirements.

مجال الشركة:
خدمات تكنولوجيا المعلومات
الدور الوظيفي:
المحاسبة والتدقيق

GL, AR & Financial Settlements – Senior Accounting Supervisor / Acting GL Manager

يناير 2009 - مايو 2017

Stc Channels -saudi Arabia

الرياض، المملكة العربية السعودية

وجدت هذه الوظيفة عبر بيت.كوم

يناير 2009 - مايو 2017

GL & Financial Settlements - Senior Accounting Supervisor / Acting GL Manager
AR - Accounting Supervisor (Finance & Operation)
Bank Reconciliation Statements


• Month-end, quarter-end and year-end closing - Conducting regular General ledger closings.
• Monthly / Quarterly / Yearly balance sheet and P & L Fluctuation Analysis (Company / Cost Centre / Department)
• Balance sheet accounts reconciliations & monthly expense variance analysis.
• Reconciling / Posting the information to General Ledger coming from Modules Payroll / AP / Cost Management / AR
• Updating information for Movements & Schedules
• Providing Exchange Rates for Inter Company (Oman & Bahrain)
• Consolidation, inter-company transactions with reconciliations / Elimination entries / Translation Adjustment / Non-controlling interest
• Responsible for inter-company accounting in line with accounting standards and internal policies (Debit / Credit Notes)
• Responsible for providing the Reporting Team the Group Consolidation Trail Balance.
• Ensure accuracy of financial statements in accordance with SOCPA / GAAP / IFRS and compliance to internal company policies.
• Responsible for carrying out regular analysis and reporting activities.
• Perform the essential day-to-day and month-end activities required for accurate reporting.
• Responsible for maintain all documents related to Manual JV’s.
• Responsible for liabilities and non-cash-based assets (Accruals/prepayments).
• Responsible for provide P&L information as per Detail TB to Cost Centers / Branches / Departments
• Revenue Analysis and reporting of variances and fluctuations in Margins.
• Financial Settlements - Responsible for adjustments recommended by Auditors & Approved by Management
• Source for GL - Department to provide all Audit Requirements (Answers to the Queries & Documentations)
• Ensuring the compliance with organizational policies by developing and maintaining respective processes and procedures.
• Oracle implementation team member for Automation’s & other new implementations as per the business requirements.
• Working with IT - Department for Automation (Digitalization & Digitization)

مجال الشركة:
الاتصالات والشبكات
الدور الوظيفي:
المحاسبة والتدقيق

Accounts Payable / Fixed Asset – Senior Accountant

مايو 2005 - يونيو 2008

Saudi Networkers Services Limited

الرياض، المملكة العربية السعودية

وجدت هذه الوظيفة عبر بيت.كوم

مايو 2005 - يونيو 2008

Accounts Payable
• Responsible for Booking All Transactions related to Accounts Payable.
• Handling Petty Cash & its bookings
• Maintaining Suppliers SOA / Schedules
• Preparation of Payments to Suppliers (Cheese / Bank Transfers)
• Preparation of Salaries Payments for SNS - In house Staff (Project - Department / Consultancy - Department) - (Cheese / Bank Transfers)
Fixed Assets
• Perform and monitor a system of controls, procedures and forms to record Fixed Assets.
• Assign Tag Numbers to Fixed Assets.
• Capitalization of Fixed Assets
• Conduct monthly analysis and reporting of financial statements related to fixed assets
• Plan and Schedule Fixed Assets physical counting & verification
• Conduct FA physical counting & verification according to the Plan, every six months in Head Office, regional offices and Warehouse all over the Kingdom.
• Printing and pasting of Bar code labels to all Fixed Assets
• Calculate depreciation for all fixed assets
• Compare and Fix the shortages and additional assets with ERP system.
• Perform ERP assignments according to Physical Movements and Disposals
• Telephonic and Email Follow up and liaison with all departments and branches regarding reconciliation and capitalization of Fixed Assets. 􀀡 Month End, Quarter End closing of ERP-Fixed Assets module

مجال الشركة:
الاتصالات والشبكات
الدور الوظيفي:
المحاسبة والتدقيق

General Accountant

مايو 2002 - يوليو 2004

Ideal Printers

حيدر اباد، الهند

مايو 2002 - يوليو 2004

Accounts Payable:
ï· Responsible for Booking All Transactions related to Accounts Payable.
ï· Handling Petty Cash Bookings
ï· Maintaining Suppliers SOA / Schedules
ï· Preparation of Payments to Suppliers (Cheese)
ï· Preparation of Salaries Payments
Accounts Receivable:
ï· Responsible for Booking All Transactions related to Accounts Receivable.
ï· Maintaining Customers SOA / Schedules
ï· Preparation of Invoices to Customers

مجال الشركة:
التصميم الجرافيكي
الدور الوظيفي:
المحاسبة والتدقيق

التعليم

Madurai Kamaraj UniversityOsmania University

يناير 1998

يناير 1998

ماجستير، Computer Application

الهند

(

Madurai Kamaraj UniversityOsmania University

يناير 1998

يناير 1998

ماجستير، Computer Application

الهند

(

Madurai Kamaraj UniversityOsmania University

يناير 1998

يناير 1998

بكالوريوس، Computer Application

الهند

(

Madurai Kamaraj UniversityOsmania University

يناير 1993

يناير 1993

الثانوية العامة أو ما يعادلها، Computer Application

الهند

courses: Matric ICSE –The Hyderabad Public School, Begumpet, Hyderabad – India

Skills

Financial Operations
Expert
Financial Operations
Expert
Control M
Expert
Control M
Expert
Point to Point
Expert
Point to Point
Expert
Office Operations
Expert
Office Operations
Expert
M 26A due diligence
Expert
M 26A due diligence
Expert
ACCOUNTANCY
Expert
ACCOUNTANCY
Expert
ERP
Expert
ERP
Expert
REPORTS
Expert
REPORTS
Expert
ACCOUNTS PAYABLE
Expert
ACCOUNTS PAYABLE
Expert
BALANCE
Expert
BALANCE
Expert
FINANCE
Expert
FINANCE
Expert
FINANCIAL
Expert
FINANCIAL
Expert
FINANCIAL REPORTING
Expert
FINANCIAL REPORTING
Expert
PROCESS ENGINEERING
Expert
PROCESS ENGINEERING
Expert
SUPERVISORY SKILLS
Expert
SUPERVISORY SKILLS
Expert
Financial Operations
Expert
Financial Operations
Expert
Control M
Expert
Control M
Expert
Point to Point
Expert
Point to Point
Expert
Office Operations
Expert
Office Operations
Expert
M 26A due diligence
Expert
M 26A due diligence
Expert

اللغات

العربية
متمرّس
الانجليزية
متمرّس
الهندية
متمرّس
الأوردو
متمرّس