Aisha Alraeesi, Assistant Accountant

Aisha Alraeesi

Assistant Accountant

Abu Dhabi for Onshore Petroleum Operations Ltd. (ADCO)

Location
United Arab Emirates - Umm Al Quwain
Education
Diploma, Banking
Experience
17 years, 8 Months

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Work Experience

Total years of experience :17 years, 8 Months

Assistant Accountant at Abu Dhabi for Onshore Petroleum Operations Ltd. (ADCO)
  • United Arab Emirates - Fujairah
  • My current job since January 2012

•Process & validate all commitment documents such as Task Order, Minor Work Order, Low Value Purchase Order, Price Agreement, Purchase Order, Contract Commitment Document and Service Order.
•Process & validate Contract and General Invoices.
•Prepare monthly and yearly closing,
•Prepare monthly accrual.
•Prepare monthly Cash Forecast.
•Submit monthly reports and prepare budget.
•Accomplished the Critical Task Program (CTP) covers the rest of areas in Finance Department such as Commercial Registration & Supplier data maintenance, Contract Accounting & Process, Accounts Receivable & Payable, Material Accounting, Payroll Accounting, Drilling Accounting, Treasury, System & Procedures, Management Information & Reporting, Costing, Fixed Assets & Insurance, General Ledger, Oil & Gas Production & Maintenance, Information Technology, and Health Safety Environment.

Assistant Accountant at Finance Department
  • United Arab Emirates - Abu Dhabi
  • My current job since January 2012

Terminal, Pipeline and
Oil/Gas Movements Operation TPO Assets - Fujairah

•Process & validate all commitment documents such as Task Order, Minor Work Order, Low Value Purchase Order, Price Agreement, Purchase Order, Contract Commitment Document and Service Order.
•Process & validate Contract and General Invoices.
•Prepare monthly and yearly closing,
•Prepare monthly accrual.
•Prepare monthly Cash Forecast.
•Submit monthly reports and prepare budget.
•Accomplished the Critical Task Program (CTP) covers the rest of areas in

Supervisor at Road And Transportation Authority
  • United Arab Emirates - Dubai
  • October 2008 to January 2011

Road Transportation Authority
Clearing & Settlement Section in Unified Automated Fare
Collection (UAFC)

•Create a financial study showing the financial viability of the figures and the rates set in the agreements.
•Check and verify all reports related to clearing of transactions and settlement of revenue payments and sales/Top-up receivables, including Auto Top-up related receivables.
•Generating all necessary reports needed for reconciliation purpose.
•Passing manual entries and necessary adjustments for the expired/ transaction, and exceptional reports transactions (Stolen/ Unknown device transactions).
•Prepare Trail Balance on monthly basis.
•Creating and maintaining reports for the department such as profit and lost report, Revenue and expenses report, Ridership report for all business entities and change of mind report for all business entities.
•Investigating and reconciling any discrepancies between clearinghouse reports and service provider/sales agent’s reports.
•Coordinate and cooperate with internal and external auditors during their audit.
•Maintain required files and records and ensure easy retrieval.

Accountant at National Bank of Umm Al Quwain
  • United Arab Emirates - Umm Al Quwain
  • January 2006 to October 2007
Credit Clerk at Sofitel City Centre Hotel & Residence (Europe’s leading brand ACCOR Group)
  • United Arab Emirates - Dubai
  • November 2004 to December 2005

Education

Diploma, Banking
  • at Emirates Institute of Banking & Financial Studies
  • December 2007

Diploma in banking and finance

Specialties & Skills

ACCOUNTANCY
ACCOUNTS RECEIVABLE
ACCRUALS
BALANCE
BUDGETING
CLOSING
FINANCIAL
FIXED ASSETS
GENERAL LEDGER
INFORMATION TECHNOLOGY

Languages

Arabic
Expert
English
Expert