wissam darwish,

wissam darwish

Al Amal Company

Lieu
Liban - Beyrouth
Éducation
Etudes secondaires ou équivalent, Economics
Expérience
15 years, 0 Mois

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Expériences professionnelles

Total des années d'expérience :15 years, 0 Mois

à Al Amal Company
  • Arabie Saoudite
  • Je travaille ici depuis juin 2010

Electromechanical and contracting) Dubai, UAE.


Job Responsibilities include but not limited to:

Handling somewhat administrative work (photo Copy, Scanning, Filling, etc)

Preparing Quotations, LPO, and Delivery notes, Invoices, Receipt Vouchers, Payment Voucher

Handling Suppliers Statements.
Handling Customers Statements.

Handling Warehouse Inventory.
Collecting money from customers.

Drafting Payment Terms.
Deposit Money in the account and follow up Deposit Cheques.

Transfer Money to Suppliers.
Withdrawal money From Bank.

Preparing Statement of Account on Excel and Follow up It.
Handling Bank Statement.

Preparing Journal Voucher.
Petty Cash Replenishment

Preparing Ledger.
Preparing Trial Balance.

Reconciliation of accounts and auditing.
Preparing Profit And loss List.

Preparing Balance Sheet.
Financial Analysis




ACCOUNTANT & EXTERNAL AUDITOR

SENIOR ACCOUNTANT à Al Amal Company
  • Émirats Arabes Unis - Dubaï
  • juin 2009 à mars 2010

Handling somewhat administrative work (photo Copy, Scanning, Filling, etc)
Preparing Quotations, LPO, and Delivery notes, Invoices, Receipt Vouchers, Payment Voucher
Handling Suppliers Statements. Handling Customers Statements.
Handling Warehouse Inventory. Collecting money from customers.
Drafting Payment Terms. Deposit Money in the account and follow up Deposit Cheques.
Transfer Money to Suppliers. Withdrawal money From Bank.
Preparing Statement of Account on Excel and Follow up It. Handling Bank Statement.
Preparing Journal Voucher. Petty Cash Replenishment
Preparing Ledger. Preparing Trial Balance.
Reconciliation of accounts and auditing. Preparing Profit And loss List.
Preparing Balance Sheet. Financial Analysis

ACCOUNTANT à Hani Mourad Group
  • Liban
  • mars 2009 à mai 2009

Job Responsibilities include but not limited to:

Monitor daily closing activities and reconciliations.
Ensuring the entries passed is accurate and supported by necessary
Documents and approved from authorized employees.
Preparation of monthly Financial and MIS reports; e.g. Trial Balance, Balance Sheet, Profit and loss A/C, Cash Flow, Cost reports.
Finalization of Accounts, Inventory control, Receivables, Payables.
Bank reconciliation and Daily Bank Position.
Monthly Financial analysis.
Preparing Lists of Monthly Staff Salaries and send to bank to transfer.
Monthly Depreciation and Fixed Assets.
Monthly Leave Salaries and Gratuities of Employees.
Maintains confidentiality and good filling systems of financials documents.
Petty Cash Replenishments, rents, insurance, commercial licenses, maintenance contracts, security contracts, etc.
Payroll/Staff Salaries and ensure their accounts are updated.
Budgeting and Forecasting.
Cost Control & Management Accounts.

Éducation

Etudes secondaires ou équivalent, Economics
  • à Al Galilee High School
  • juillet 2005

I participated in training workshops related to accounting, marketing and advertising. As well as, workshops related to the field of business management and business administration.

Baccalauréat, Economics
  • à Al Galilee High School
  • juillet 2005

I participated in training workshops related to accounting, marketing and advertising. As well as, workshops related to the field of business management and business administration.

Specialties & Skills

Business Tax
Pre sales
Administrative
Auditing
Accounting
ACCOUNTANCY
ACCOUNTING
ADMINISTRATION
ADOBE PHOTODELUXE
AUDITING
BALANCE
DELIVERY
DRAFTING
FILE MANAGEMENT
FINANCIAL

Langues

Arabe
Expert
Anglais
Expert
Français
Expert