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سائد رحال, Head Of Accounting Department

سائد رحال

Head Of Accounting Department·B U H Properties

الإمارات العربية المتحدة

بكالوريوس, finance

الخبرة العملية

مجموع سنوات الخبرة: 20 سنوات, 10 أشهر

Head Of Accounting Department

أغسطس 2022 - حتى الآن

B U H Properties

دبي، الإمارات العربية المتحدة

أغسطس 2022 - حتى الآن

1.Manage all aspects of the accounting department, including supplier accounts payable, tenant accounts receivable, general ledger, payroll, and financial reporting.
2.Manage & Ensure collect direct income for the owner and un-direct income for the company.
3.Manage & Ensure the preparation of financial statements, including balance sheets, income statements, and cash flow statements, per building.
4.Manage & Ensure prepare and submit vat report and return request.
5.Manage the annual budgeting process, including preparing budget reports and monitoring budget versus actual performance.
6.Manage and mentor accounting staff, providing training and support to ensure the team is operating at maximum efficiency.
7.Manage and Work closely with other departments to identify areas for cost savings.
8.Manage and ensure timely payment of all dues to Suppliers, Vendors, Contractors, Brokers, Property Owners, etc.
9.Manage and Ensure timely collection of all dues from Tenants and provide the weekly receivables statement with ageing analysis to the Leasing Administrator.
10.Closely monitor the collection from tenants on bounced cheques and ensure timely legal action.

مجال الشركة:
العقارات
الدور الوظيفي:
المحاسبة والتدقيق

Head Of Accounting Department

سبتمبر 2020 - ديسمبر 2021

Abdulla Al Suwaidi Advocates & Legal Consultant

دبي، الإمارات العربية المتحدة

سبتمبر 2020 - ديسمبر 2021

1. Managing daily operations and tasks within the accounting department and supervising account
employees.
2. ZOHO Accounting System.
3. Coordinate Annual Audit.
4. Analyzing accounting data and preparing financial reports.
5. Improving the company's accounting and financial systems and procedures.
6. Work directly with the accounts department and the higher management of the company.
7. Implement accounting policies appropriate to the nature of the company.
8. Create and maintain files and financial records to prove the transactions that have been made.
9. Close accounts monthly and every year-end.
10. Reviewing receipts, payment vouchers and invoices.
11. Follow-up revenue accounts that are received in all types.
12. Supervising the processing of payroll and the payment process for employees.
13. Budget preparation and management.
14. Follow-up of settlements, bank reconciliation s and accounting settlements.
15. Arranging and presenting financial and accounting operations in a way that allows users to
understand them.
16. Preparing periodic reports that contain income statements, debt analysis, and cash flow.

I managed a team of two accounting specialists, and I carried out full audits previous two years because there was no accurate chart of accounts in addition to the lack of correct data, im rebuilding an accurate accounting system and this procedure showed the company’s efficiency by 100%, with the preparation of financial statements and financial reports related to relevance to the company.

مجال الشركة:
مكاتب المحاماة
الدور الوظيفي:
المحاسبة والتدقيق

Accounting Manager

نوفمبر 2015 - أبريل 2020

Aldana Private Nursery

أبو ظبي، الإمارات العربية المتحدة

نوفمبر 2015 - أبريل 2020

Head Of Accounts/Finance

1. Handle financial accounts for group companies.
2. Handle & monitor for accounts system & all financial matters related to 27 branches.
3. Leadership & managing staff of accounts.
4. Using multiple accounts system Focus 8 ERP, QuickBooks.
5. Develop plans and strategies for financial and accounting for nursery work provide recommendations, improve systems.
6. Advise staff on the handling financial reporting, collaborates with other financial staff to support and enable the department to meet overall goals and objectives.
7. Protects companies by keeping information confidential.
8. Conducts month-end and year-end closure, preparing balance sheet, profit & loss, cash flow & budget & feasibility study.
9. Monitors revenue and expenses entries, review of all financial data, conduct weekend petty cash closure.
10. Provide monthly reports to management with recommendations, expense analysis, error-free accounting reports, updating existing and new asset lists, depreciation, disposal, liabilities.
11. Follow the law for end of service, Leave salary, air ticket & provision recorded.
12. Handle recorded received cash, cheque's & credit card transactions.
13. Settling the rent account monthly, utility bill and online payment plus employee visa expenses & bank labor guarantee update, bank reconciling transactions, credit card reconciling.
14. Maintains general ledger list.
15. Completes internal audit by analyzing and scheduling general ledger accounts, confirmation letters & work with external auditors.
16. Update the current accounts of the owner.
17. Inventory and movements, purchases, returns, inventory end of the year.
18. Handel account receivable & payable entries & generate reports on a daily basis, aging receivable and Initiate collections on past-due accounts.
19. Database backups.
20. Transferring money between bank accounts as required.
21. Prepare payroll sheets, ensure pay cheques are correct and delivered on time, calculate salary, salary increase, & overtime and bonus, Personal loans, and deduction reports.
22. Update new hires and terminations in the payroll system.
23. UAE VAT & the refund process.
24. Handel banking facilities handle and process all the bank's requirements for any loan.

I managed a team of three accounting professionals, implemented processes for improvements that increased company efficiency by 90%, and oversaw the preparation of financial statements and related disclosures for the company and branches plus making recommendations.

Skills: Microsoft Office · Accounting · Interpersonal Skills · Journal Entries (Accounting) · Time Management · Vendor Management · International Financial Reporting Standards (IFRS) · Generally Accepted Accounting Principles (GAAP) · Inventory Control · Accounts Payable & Receivable · Revenue Recognition · Budget Management · Process Improvement · Internal Controls · Cost Accounting · Microsoft Excel · Problem Solving · Communication · Accounting Software · QuickBooks · Team Management · Payroll Administration · Tax Preparation · General ledger management · Accounting Management

مجال الشركة:
التعليم الابتدائي والإعدادي والثانوي
الدور الوظيفي:
المحاسبة والتدقيق

Senior Accountant

نوفمبر 2014 - أكتوبر 2015

Juice Palace Refreshment

العين، الإمارات العربية المتحدة

نوفمبر 2014 - أكتوبر 2015

• .Prepare monthly journal, payment, receipt entries using account system., prepare monthly and quarterly accounting reports for submission to management., inventory reserve analysis on a quarterly basis and generate reports for senior management., assist and suggesting changes to policies or procedures to increase cash flow., review and record rates of depreciation, labor cost and overhead., maintain and review the general ledger and reconcile balance sheets., analyze costs of raw materials and other supplies and create cost-benefit analysis for changing vendors to increase benefit.., cash controller include follow up with each branch for daily sales and ensure to deposit sales daily and closed staff petty cash and collect invoices., update account receivable & payable with follow for any different issues., prepared company accounts files for audit.

مجال الشركة:
البيع بالتجزئة وبالجملة
الدور الوظيفي:
المحاسبة والتدقيق

Supervisor (Controller) Economic Surveys Project

مايو 2014 - سبتمبر 2014

Statistics center – Abu Dhabi

العين، الإمارات العربية المتحدة

مايو 2014 - سبتمبر 2014

• Supervision and follow-up researchers in the field how collect financial data., provide administrative daily financial reports., review the financial forms after the completion and returned to the facility by the researcher to correct errors in the case of its existence., follow the daily work of researchers and answering financial their questions and resolve any problems they face., preparing daily reports on the progress of work., maintaining the confidentiality of the data and the lack of disclosure.

مجال الشركة:
الإدارة العامة
الدور الوظيفي:
المحاسبة والتدقيق

General Accountant

يونيو 2007 - مايو 2014

Dar Al Emarat General Contracting & Transport L.L.C ) Al Ain, U.A.E

العين، الإمارات العربية المتحدة

يونيو 2007 - مايو 2014

• Processed journal entries by using accounting system., review and approve overhead charges to be applied to a project., managed accounts payable, accounts receivable., review and approve supplier invoices related to a project., assisted in yearend closing., verified details of transactions, including funds received and total account balances., prepared company accounts for audit., received, recorded, and deposited cash and checks and reconciled records of bank transactions, prepare inventory reports at the end of the month, . responsible to closed petty cash., preparing the depreciation sheet for fixed assets, making accrued accounts for any invoice which has not been received, preparing payroll entries and classifying cash salaries and bank salaries., process all staff payments for expenses, advances, leave and /or final settlements., create project accounts in the accounting system., maintain project-related records, including contracts and change orders.

مجال الشركة:
النقل بالسيارات
الدور الوظيفي:
المحاسبة والتدقيق

Junior Accountant

ديسمبر 2006 - مايو 2007

Al Jamal Complex For Student

اربد، الأردن

ديسمبر 2006 - مايو 2007

• Prepared trial balance at end of month using manual method., prepared journal voucher, payment voucher, and receipt voucher using manual method., write checks and made deposits., sent out invoices to vendors and collected unpaid fees., recorded all revenues and expenses., kept ledger updated., handling petty cash for daily expenses., prepared salary sheet by excel and paying salary.

مجال الشركة:
خدمات المرافق
الدور الوظيفي:
المحاسبة والتدقيق

Accountant & Administrative Assistant

أغسطس 2004 - نوفمبر 2006

Green Oasis Trade. & invest. Co

عمان، الأردن

أغسطس 2004 - نوفمبر 2006

• Responsible for vendor, receiving, deposited, and follow payments., prepared and maintained journal vouchers and adjusted entries., handled payroll scheduling and salaries., reconciled payable, receivable, and bank accounts., prepared Journal vouchers and other data entries., write checks, made transfers and deposits to the banks., responsible for the reconciliation of all payable accounts., prepared and reviewed end of month closing trial balances., recorded sales invoices, all expenses, and revenues.

مجال الشركة:
الزراعة وإنتاج المحاصيل
الدور الوظيفي:
المحاسبة والتدقيق

التعليم

yarmouk university جامعة اليرموك

يونيو 2004

يونيو 2004

بكالوريوس، finance

الأردن

المعدل التراكمي (نسبة مئوية): 70%

المعدل التراكمي (نسبة مئوية): 70%

Becholor degree in finance
عرض المرفق

Skills

Internal Audit
Expert
Internal Audit
Expert
Account Reconciliation
Expert
Account Reconciliation
Expert
Managing Employees
Expert
Managing Employees
Expert
Managing Processes
Expert
Managing Processes
Expert
Financial Reporting
Expert
Financial Reporting
Expert
Supervising the daily operations
Expert
Supervising the daily operations
Expert
Review and calculating the cash revenues collected
Expert
Review and calculating the cash revenues collected
Expert
coordination of annual audits
Expert
coordination of annual audits
Expert
Converting Salaries by WPS
Expert
Converting Salaries by WPS
Expert
Preparing annual inventories
Expert
Preparing annual inventories
Expert
Rapid learning
Expert
Rapid learning
Expert
Internal Audit
Expert
Internal Audit
Expert
Determine the expected future financial resources and expenditures
Expert
Determine the expected future financial resources and expenditures
Expert
Opening a VAT account and submitting VAT returns
Expert
Opening a VAT account and submitting VAT returns
Expert
Analysis of debts and cash flow
Expert
Analysis of debts and cash flow
Expert
Reconciliation of accounting data
Expert
Reconciliation of accounting data
Expert
Managing accounting department
Expert
Managing accounting department
Expert
Reviewing payment and receipt vouchers
Expert
Reviewing payment and receipt vouchers
Expert
Review the general ledger and reconcile balance sheets
Expert
Review the general ledger and reconcile balance sheets
Expert
Adaptability and work under pressure
Expert
Adaptability and work under pressure
Expert
Team player
Expert
Team player
Expert
Preparing periodic reports
Expert
Preparing periodic reports
Expert
Closing accounts on a monthly basis and at the end of a year
Expert
Closing accounts on a monthly basis and at the end of a year
Expert
Leadership staff of accounts
Expert
Leadership staff of accounts
Expert
Cash controller, following up branches for daily
Expert
Cash controller, following up branches for daily
Expert
Prepare trial balance, Profit & Loss, Balance sheet at the end of the financial year
Expert
Prepare trial balance, Profit & Loss, Balance sheet at the end of the financial year
Expert
Overseeing the payroll process
Expert
Overseeing the payroll process
Expert
Managing budgets
Expert
Managing budgets
Expert
Responsible in Initiate collections on past-due accounts
Expert
Responsible in Initiate collections on past-due accounts
Expert
Supervision at employee loan, provisions, leave salaries, air tickets
Expert
Supervision at employee loan, provisions, leave salaries, air tickets
Expert
Communication Skills, and analytical skills
Expert
Communication Skills, and analytical skills
Expert
Self driven, self disciplined, self motivated
Expert
Self driven, self disciplined, self motivated
Expert
Monthly reports to management with recommendations
Expert
Monthly reports to management with recommendations
Expert
Credit card reconciling.
Expert
Credit card reconciling.
Expert
Work independently without supervision
Expert
Work independently without supervision
Expert
Can grow within all business type industry
Expert
Can grow within all business type industry
Expert
Decision maker
Expert
Decision maker
Expert
Reviewing purchase orders, quotation, invoices
Expert
Reviewing purchase orders, quotation, invoices
Expert
Fast learning
Expert
Fast learning
Expert
Leadership teamwork
Expert
Leadership teamwork
Expert
Interpersonal skills
Expert
Interpersonal skills
Expert
Cash forecasting
Expert
Cash forecasting
Expert
Accounts Payable
Expert
Accounts Payable
Expert
Proficiency in using accounting software programs
Expert
Proficiency in using accounting software programs
Expert
MS office skills, in particular, MS excel, word
Expert
MS office skills, in particular, MS excel, word
Expert
Supervision Bank opening accounts, bank facilities
Expert
Supervision Bank opening accounts, bank facilities
Expert
Analyze costs
Expert
Analyze costs
Expert
Problem solving and time management
Expert
Problem solving and time management
Expert
Multi skilled
Expert
Multi skilled
Expert
Handle multi task
Expert
Handle multi task
Expert
Bank Reconciliation
Expert
Bank Reconciliation
Expert
Financial Reporting
Expert
Financial Reporting
Expert
Accounts Receivable
Expert
Accounts Receivable
Expert
Journal Entries
Expert
Journal Entries
Expert

اللغات

العربية
اللغة الأم
الانجليزية
متمرّس

التدريب و الشهادات

التدريب
Smart Business - bank online service
Emirteas NBD Bank
May 2015

الهوايات

  • Every thing about phones & computers