Rita Karam, Senior accountant

Rita Karam

Senior accountant

F&H trading LTD

Lieu
Liban - Beyrouth
Éducation
Etudes secondaires ou équivalent, Accounting
Expérience
15 years, 10 Mois

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Expériences professionnelles

Total des années d'expérience :15 years, 10 Mois

Senior accountant à F&H trading LTD
  • Chypres - Limassol
  • Je travaille ici depuis janvier 2021

- Reconcile daily transactions, including accounts payable/receivable, general ledger and descriptions posted on the system.
- Review the asset and confirm the posted transactions.
- Review monthly salaries
- Monitor expenses related to prepaid rent, prepaid insurance and registration
-Receiving accounting data (Expenses invoices, payments, bank, purchase and sales invoices, receipt)
-Prepare the official declaration (VAT)
-Bank reconciliation
-Adjusting statements (Receivable & Payables)
-Petty cash reconciliation
-Controls and records the daily sales cash out (POS Sales)
-Controls the stock

Senior Accountant à California Vegetable Seeds SAL Offshore/California Vegetable Seeds LTD Cyprus
  • Liban
  • mai 2018 à décembre 2023

- Reconcile daily transactions, including accounts payable/receivable, general ledger and descriptions posted on the system.
- Reconciliation of the statement of account for the banks with the system balances.
- Review the asset and confirm the posted transactions.
- Prepare quarterly and year - end closing statements (P&L)
- Review travel expenses.
- Payroll
- Prepare the tax added value sheet and reconcile it with the system before submitting. (Tax on Profit, Tax on salaries, CNSS)
- Prepare all other requested reports to the management
- Monitor expenses related to prepaid rent, prepaid insurance and registration
- Cash Flow

Accountant à Kabboud for construction Sarl
  • Liban
  • décembre 2013 à avril 2018

- Prepare the data entries (JV, PV)
- Prepare the official Declarations (Tax on profit, Tax on salaries, TVA, CNSS)
- Bank reconciliation
- Review the assets
- Adjusting statements (Receivables, Payables)
- Receives, controls, and records cash or check receipts
- Petty cash reconciliation
- Payroll

Accountant à Rootica Timber & Veneer Trading S.A.R.L
  • Liban
  • février 2012 à novembre 2013

Prepare the data entries (JV, PV, RV)
* Prepare the official Declarations (Tax on profit, Tax on salaries, TVA, CNSS)
* Bank reconciliation
* Prepare and control the reconciliation for the suppliers and the customers
* Inventories control (invoices, stock Transfer, Items movement )
* Receives, controls, and records cash or check receipts
* Petty cash reconciliation 


Accountant à Cuisine D’ar
  • Liban
  • mars 2010 à janvier 2012

Prepare the data entries (JV, PV, RV)
* Prepare the official Declarations (Tax on profit, Tax on salaries, TVA, CNSS
* Bank reconciliation
* Prepare and control the reconciliation for the suppliers and the customers
* Adjusting statements (Receivables, Payables) and cash management
* Inventories control (invoices, stock Transfer, Items movement )
* Receives, controls, and records cash or check receipts

Trainee à WORKSHOPS
  • juillet 2009 à août 2009
Sales Person à BHV City Mall
  • janvier 2008 à juillet 2009

Éducation

Etudes secondaires ou équivalent, Accounting
  • à Technical Institute of Tourism
  • janvier 2011

Etudes secondaires ou équivalent, Accounting
  • à Episcopal Khalil Moutran
  • janvier 2007

Specialties & Skills

Reconciliation
Costing
Income Tax
Currency
BALANCE
BANK RECONCILIATION
PAYROLL PROCESSING
TAX PLANNING
ACCOUNTS PAYABLE
CASH MANAGEMENT
CLOSING
FINANCIAL STATEMENTS

Langues

Arabe
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Anglais
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Français
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