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Mostafa Farghal, Accounting Manager

Mostafa Farghal

Accounting Manager·Barakah Caravan Trading Company

Saudi Arabia

Bachelor's degree, Accounting

Work experience

Total years of experience: 14 years, 11 months

Accounting Manager

September 2024 - Present

Barakah Caravan Trading Company

Riyadh, Saudi Arabia

September 2024 - Present

Company industry:
Retail & Wholesale
Job role:
Sales

Chief Accountant

October 2022 - Present

Dar Altanmiyat Ltd Co ( Morood Holding Co)

Riyadh, Saudi Arabia

October 2022 - Present

Company industry:
Real Estate
Job role:
Accounting and Auditing

Senior Accountant

August 2020 - September 2022

Saudi Investment and Marketing Company ( Ghazzawi Group)

Dammam, Saudi Arabia

August 2020 - September 2022

Company industry:
Real Estate
Job role:
Accounting and Auditing

chief accountant

May 2015 - May 2020

Abdul latif Jameel Electronics & Aircoditioning Co.

Jeddah, Saudi Arabia

May 2015 - May 2020

• Work with external professionals on managing the external audit process and all taxation issues.
• Ensure that accounting transaction, information, and reports are an accurate and timely reflection of the Company’s business activities.Check and create payments for the all Local suppliers.
• Check and control expenses for the employees and local suppliers.
• Reconciling the inter-company bills receivable and bill payable accounts on a monthly basis .
• Responsible for Accounts receivable and recording the wholesales collection into system.
• Reconcile monthly accounts receivables between sub-ledgers and general ledgers.
• Prepared and monitoring daily collection report for all showroom for West & South Region,
(15 Showroom )Updating all petty cash summary report on daily basis .
, to ensure that amounts are correct .
• Controlling and receiving all type of collection either cash or Chq . • Mentoring all cash receipt received by sales men.
• Generated and maintained bank receipts and cash receipts.
• Showrooms stock taking whenever it's needed,
• Updating and preparing all bank reconciliation company wise for all type of company accounts.( 23 bank accounts on a monthly basis)
• Follow up with sales team regarding to the fund received in our bank and not updated in GL
• Updating the top management for all type of chq return from the banks .
• Co-operating with Finance team for warehouse stock taking yearly during the year end closing.

Company industry:
Retail & Wholesale
Job role:
Accounting and Auditing

Senior Accountant

July 2013 - April 2015

Omar Ba'arma Est

Jeddah, Saudi Arabia

July 2013 - April 2015

Posting all accounting transactions into Journal entries,
-making barcodes for the new purchases
-insert the purchases into system
-Salaries
-Monthly Closing Entries
-Cash Reconciliation
-Bank Reconciliation
-Bank Deposits
-Statement of AR & AP
-Monthly Financial Reports
-Income Statement & Balance Sheet preparation

Company industry:
Retail & Wholesale
Job role:
Accounting and Auditing

Accountant

September 2012 - June 2013

Sultan Alawi Est.

Jeddah, Saudi Arabia

September 2012 - June 2013

-Posting all accounting transactions into Journal entries,
-Dividends between the Partners
-Statements for Each project Individually
-Salaries
-Cash Control
-Monthly Closing Entries
-Cash Reconciliation
-Bank Reconciliation
-Bank Deposits
-Statement of AR&AP
-Monthly Financial Reports
-Income Statement & Balance Sheet preparation

Company industry:
Construction & Building
Job role:
Accounting and Auditing

Accountant

May 2011 - September 2012

Royal Ftuits Company

Jeddah, Saudi Arabia

May 2011 - September 2012

Posting all accounting transactions into Journal entries,
-making barcodes for the new purchases
-insert the purchases into system
-Making Sales Orders & Dealing with Customers
-Checking & watching the Inventory and reducing the rate of damage goods
-taking the FIFO method for the inventory to reduce the damage
-inventory control and Loading the goods to the Sales Representatives to be sold
-Collecting Cash Sales and making Bank deposit weekly
-Salaries
-Monthly Closing Entries
-Cash Reconciliation
-Bank Reconciliation
-Bank Deposits
-Statement of AR & AP
-

Company industry:
Retail & Wholesale
Job role:
Accounting and Auditing

Education

Faculty of Commerce English section

September 2010

September 2010

Bachelor's degree, Accounting

Egypt

Skills

Sales
Expert
Sales
Expert
Accounting
Expert
Accounting
Expert
Month End
Expert
Month End
Expert
Microsoft Excel
Expert
Microsoft Excel
Expert
Accounting
Expert
Accounting
Expert
Financial Accounting
Expert
Financial Accounting
Expert
Purchasing
Intermediate
Purchasing
Intermediate
Problem Solving
Expert
Problem Solving
Expert
Payroll
Expert
Payroll
Expert
Marketing
Intermediate
Marketing
Intermediate
Payments
Expert
Payments
Expert
Reconciliation
Expert
Reconciliation
Expert
Sales
Expert
Sales
Expert

Social profiles

Personal Website
Personal Website

URL removed due to policy violation. Please contact support for further information.

Languages

English
Expert
Arabic
Native Speaker