Senior Accountant
Al Rajhi bank Project by Al Jazeera Dreams Co
مجموع سنوات الخبرة :9 years, 2 أشهر
Responsibilities:
• Create an inspiring team environment with an open communication culture.
• Set clear team goals.
• Coordinating accounting functions and programs.
• Preparing financial analyses and reports.
• Preparing revenue projections and forecasting expenditure.
• Assisting with preparing and monitoring budgets.
• Maintaining and reconciling balance sheet.
• Assisting with annual audit preparations.
• Contributing to the development of new or amended accounting systems, programs, and procedures.
• Assist with tax audits and tax returns.
• Develop strategies for minimizing tax liability.
• Prepare, review, and submit crucial budget plans for company goals.
• Performing other accounting duties and supporting junior staff as required or assigned.
Responsibilities:
Creating financial statements.
Creating financial statements, general ledger functions and moth-end/year end close process.
Attention to detail and accurate, administration skills.
Analyzing accounting optionsso as to recommend financial transactions.
Professional Experience
Accuracy and attention to detail.
Compiling and analyzing account information
Documenting financial transactions
Preparing balance sheet.
profit and lossstatement and other reports.
Auditing financial documents.
Reconciling financial discrepancies.
Ensuring that financial information is secure.
Developing and documenting business processes and accounting policies to maintain and strengthen internal controls.
Responsibilities:
Make necessary adjustments and communicate with the project manager and team members about the issue.
Follow-up to contractors' bills and review them.
Support with project management administrative and coordination activities and act as the point of contact between the
Executive Director and the rest of the on-site portfolio team.
Manage coordination between development projects to ensure continuous synergies in an accurate and timely manner
Responsibilities:
Works primarily on own with some supervision form - Accounting Supervisor or Manager
Prepare and process journal vouchers that comply with accounting- standards
Month-end review, adjustments, accruals, etc.
Record transactions in accordance with the Generally- Accepted Accounting Principles (GAAP).
Follow corporate and approved accounting policies and procedures.
Performs period end P&L (level) statement review, analysis of- variances with Weekly Operating Report and preparation of
adjustments as required. Enter journal entries in General Ledger.
Reviews General Ledger for failed transmission or data missing from component transmissions including but not limited to
errors or missing sales. Petty Cash disbursements, accounts payable and payroll accounting.
Reconcile and analyze Balance Sheet accounts on a monthly basis at the component level. Identifies and resolves Account
Receivable, Capital Asset and Contract accounting issues
Ensures accurate and timeliness of reporting.
Performs other duties as directed by the Accounting- Manager/Supervisor.
Responsibilities:
Prepare journal entries.
Complete general ledger operations.
Monthly closings and preparation of monthly financial statements.
Reconcile and maintain balance sheet accounts.
Draw up monthly financial reports.
Prepare analysis of accounts as requested.
Assist with yearend closings.
administer accounts receivable
Graduated from faculty of commerce ,Accounting Department Mansoura University