Part time at Accounting and tax consulting
part time
Total years of experience :26 years, 7 Months
- Prepare sales tax.
- Prepare income tax.
- Study of the costs of entering tenders.
- Prepare Social security.
- Follow-up loans and bank account.
- Some accounting and administrative matters.
1) Prepare new ERP system with company restructure
2) Manage all accounting issues
3) Preparing Cash Flow Statements and forecast
4) Control elements of cost
5) Follow up due debts
6) Responsible for preparing Financial Statements and discuss it with CEO & Board
7) Development of accounting policies using control and audit standards and international accounting (IFRS&IAS)
8) ABC Activity)Cost Center & Responsibility Account(
9) Analysis of financial statements, operational and work environment
10) Preparation and development of POS using handheld and integration back office system with ERP system.
11) Analyzing Financial Statements
12) Responsible for all issues regarding Tax Department, Sales Tax, Social Security and Health Insurance
13) reparing financial report per month (BSH-income - cash flow )
14) Preparation and development of POS using handheld and integration back office system with ERP system
15)Enter and develop handheld system with use (GPS) on (SQL language as back office) with integration of ERP with (Implementation of accounting system setup on ORACLE 11.NET)
• Manage all accounting issues
• Follow up due debts
• Control elements of cost
• Oversee all departments
• Income Tax & Sales Tax
• Prepare budgets
• Corporate restructuring
• IFRS
• Income Tax
• Sales Tax
• Business planning for five years
• Feasibility study
• Develop sources of funding
1. Financial Manager at Nuqul Engineering & Constructions Co. ( One of the major companies at Nuqul Group) for Ready Mix
From 1998 -Present Amman - Jordan
RESPONSIBILITIES INCLUDE
• Hold all accounting issues
• Checking all data entry
• Analyzing Financial Statements
• Preparing Cash Flow Statements
• Participate in preparing budgets and business plan
• Control elements of cost
• Responsible for all bank transaction ( checking, transfers, L/Cs, bank Guarantee)
• Responsible for preparing Financial Statements and discuss it with internal and external auditors
• Assessing Projects & feasibility study
• Follow up due debts
• Responsible for all issues regarding Tax Department, Sales Tax, Social Security and Health Insurance
Prepare statement receivables customers and creditors per month
Prepare statement of monthly expenses per month
Matching cash and checks per month
Matching warehouses per month
Matching checks under collection with banks per month
Prepare cost of goods sold
The preparation of the financial year closing requirements
Prepare trial balance
Calculation of cost of letter of credits
(Preparation of accounting entries on (Jamshed- program
Prepare income statement as a draft
Prepare statement receivables customers and creditors per month
Prepare statement of monthly expenses per month
Matching cash and checks per month
Matching warehouses per month
Matching checks under collection with banks per month
Prepare of cost
The preparation of the financial year closing requirements
Prepare trial balance
Preparation of accounting entries on (main record - ledger book - bookkeeping help) per month
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