accountant assistant
Al Rajhi Trading Contracting Services
مجموع سنوات الخبرة :21 years, 7 أشهر
I managed financial accounting cost control and analysis. Key responsibilities included:
Maintaining general ledger accounts and preparing financial statements.
Developing cost accounting systems and analyzing project costs.
Assisting in budgeting forecasting and financial analysis
Ensuring compliance with regulatory requirements and internal controls
identifying opportunities for process improvement and efficiency enhancement
I held dual responsibilities encompassing financial accounting and cost management. Core duties included:
Managing financial transactions and maintaining accurate general ledger accounts
Preparing financial statements and conducting variance analysis
Developing and implementing cost accounting systems to track project costs
Analyzing cost trands to identify opportunities for cost optimization
Assisting in budgeting, forecasting and financial reporting
Ensuring compliance with regulatory standards and internal controls
I played a pivotal role in ensuring accurate financial management and reporting. Key responsibilities included:
Handling day to day accounting tasks recording financial transaction and maintaining income tax retuned wealth reconciliation statements and other accounts
Assisting with preparation of financial statements and reports
Conducting reconciliations of accounts and bank statements
Supporting audit activities and liaising with external auditors
Assisting clients with tax compliance and providing financial advice
Contributing to the implementationon of internal controls and procedures
Collaborating with team members to achieve organizational goals and deliver exceptional client service
I was responsible for managing cash transactions and providing excellent customer service. Key duties included:
processing customer transactions including deposits withdrawals and transfers
Balancing cash drawers and ensuring accuracy in financial transaction
Handling inquiries from customers and addressing their banking needs
Adhering to bank policies and procedures to maintain security and confidentiality
Assisting in the identification and prevention of fraudulent activities