Nahed Abed, Accountant ( Inventory Control Supervisor)

Nahed Abed

Accountant ( Inventory Control Supervisor)

The Sultan Center

Lieu
Koweït
Éducation
Baccalauréat, Puplic Administration
Expérience
24 years, 6 Mois

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Expériences professionnelles

Total des années d'expérience :24 years, 6 Mois

Accountant ( Inventory Control Supervisor) à The Sultan Center
  • Koweït - Al Farawaniyah
  • Je travaille ici depuis août 2008

Finance (Accountant - Inventory Control Supervisor)
- Accountable for day to day operational issues, ensuring results are delivered according to set targets, whilst maximizing utilization of staff on site.
- Assist Accounts Payable Manger in matching supplier invoice against GRN (Goods Received Notes) and PO (purchase order) to identify any discrepancies.

-Apply and follow up SOPs (Standard Operational Procedures) in stores and Warehouse

-Supervise the stock movement and the Inventory activities in the company

- Suggests changes in working conditions using computer applications to increase efficiency

- create and maintain effective inventory control methods and macro level administration of warehouses & stores inventory issues.

-- Training the inventory matching team on the Invoice matching and other tasks

-Work-out & optimize the inventory calculation method according to accounting standard

-supervise cycle count & unit count

-Keep in mind our aim to maintain the inventory and reduce the shrink

- organize ordering, avoids overstocks and support administration.

-Ensure / verify accurate costing. (Optimize Costing, inventory pricing and validation process

-Inventory analysis; look at inventory levels vs. sales budget/history to identify reprints

-Follow up with store and warehouse with inventory control that daily, weekly and monthly counts are consistent, created and reported (Cycle Count, Unit Count, ad-hoc count and Problem line)

-Follow up and complete systematic inventory counts in store and warehouse

-Play a key roll improving the inventory system and workflow, potential integration of ERP system

- Assist accounting Journal entries and post ledger.

-Prepare the payment of Suppliers by Cheques or Bank Transfers or System Process as required

-Maintain Accounts Payable Ledger

-Prepare and control Petty Cash Manual or BCT

-Prepare reconciliations of Bank statement, Account payable and report if any discrepancies found

-Review Revenue, Expense, Payroll entries, Gift & Restaurant Vouchers and other accounting documents

-Prepares daily & monthly financial reports and statements as required.

Supermarket Supervisor à The Sultan Center
  • Koweït
  • décembre 2004 à août 2008

In charge for controlling for all items, inventories, Ordering, Shrink & sales in supermarket in the
whole Sultan Center - Mangaf)

Technical Underwriter - Marine Dept. à Islamic Insurance Co.
  • Jordanie - Amman
  • octobre 2000 à décembre 2003

Assist all documents of Insurance Policy for Post, Land, Air & Marine. Survey of damaged goods)

Accountant à World NTC EST.
  • Jordanie - Amman
  • décembre 1998 à septembre 2001

Debits, credits, transaction journal entries, adjusting entries, closing entries, t-accounts, trial balances, bank
Reconciliation & Analyses reports- Financial Statement)

Éducation

Baccalauréat, Puplic Administration
  • à Bacalorea
  • janvier 1997

Specialties & Skills

ERP Systems
Software Packages
General Office Duties
Microsoft Office software & the Internet- Expert
- Excellent knowledge in some Software Packages like (ERP Program for Accounting Retail, Ideal Accou

Langues

Anglais
Moyen