Saeed Shehadeh, مدير دائرة المحاسبة

Saeed Shehadeh

مدير دائرة المحاسبة

راسل للبريد و الاعلان

Location
Palestine - Nablus
Education
Bachelor's degree, Accounting
Experience
22 years, 3 Months

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Work Experience

Total years of experience :22 years, 3 Months

مدير دائرة المحاسبة at راسل للبريد و الاعلان
  • Palestine - Ramallah and Al Bireh
  • My current job since September 2016
Accounts Management Section Head at Palestine Cellular Communication Co. Jawwal- Ramallah
  • Palestine - West Bank
  • October 2014 to December 2015

Policy
Supervising and prepare all policies of Accounts Receivables and Revenues with the related departments

Transactions
Supervising the recording of all transactions in Accounts Receivables ( Involves, Credit Memos, Debit Memos, Receipts)

Postpaid and Prepaid Revenues
Supervising the recording of all transactions of Postpaid and Prepaid Revenues at the end of month.

Dealers and Showrooms
Supervising the recording of all transactions of Dealers and Showrooms dally

Create Accounting
Create and post all journals in AR to GL at the end of the month or in needed

Matching GL with AR Module
Make the reconciliation between GL and AR module after posting the journals at the end of the month.

Aging Report for Accounts Receivables

Fixed Assets and Inventory Section Head at Palestine Cellular Communication Co
  • Palestine - West Bank
  • May 2009 to September 2014

1/5/2009 - 30/9/2014
Palestine Cellular Communication Co. Jawwal- Ramallah
Fixed Assets and Inventory Section Head
* Tagging Project Manager :
Supervising and manage the tag project to labeling all assets in the company in HQ and in the network sites.
1- Policy
* Supervising and prepare all policies of Fixed Assets and Inventory with the related departments.
2- Help in prepare Purchase Requisitions fro FA and Inventory by choosing the correct account and correct warehouse.
3- Prepare Mass Addition: Record all transaction and charge it to the department, expense account, cost center, and region.
4- Post Mass Addition: Post all the transaction that prepared in prepare mass addition to GL
5- Retirements: Make the necessary retirement for the assets that is faulty or for the sales assets.
6- Depreciation: Make the depreciation expense for all assets at the end of month after make the post mass addition.
7- Create Accounting: Create and post all journals in FA to GL at the end of the month or in needed.
8- Make the reconciliation between GL and FA module after posting the journals at the end of the month.
9- Make the stocktaking to Fixed Assets.
10- 11 Record all transactions that happened on Jawwal sites (Network) such as Trans between sites or Trans to store. - Record all transaction that stocked out from engineering store to Jawwal sites and charge it for its sites.
12- Make the stocktaking for the engineering stores.

13- Defined the new codes for the inventory items and assign it to warehouses and sub inventory.

14- Supervising the stocktaking of inventory warehouses at the end of each quarter.

15- Create and post all journals in Inventory to GL at the end of the month or in needed.

16- Make the reconciliation between GL and Inventory module after posting the journals at the end of the month.

17- Prepare all reports for internal departments and externals or internal auditors.

Fixed Assets Supervisor at Palestine Cellular Communication Co
  • Palestine - West Bank
  • October 2007 to April 2009

1/10/2007 - 30/4/2009
Palestine Cellular Communication Co. Jawwal- Ramallah
Fixed Assets Supervisor
1- Policy
* Supervising and prepare all policies of Fixed Assets and Inventory with the related departments.
2- Help in prepare Purchase Requisitions fro FA and Inventory by choosing the correct account and correct warehouse.
3- Prepare Mass Addition: Record all transaction and charge it to the department, expense account, cost center, and region.
4- Post Mass Addition: Post all the transaction that prepared in prepare mass addition to GL
5- Retirements: Make the necessary retirement for the assets that is faulty or for the sales assets.
6- Depreciation: Make the depreciation expense for all assets at the end of month after make the post mass addition.
7- Create Accounting: Create and post all journals in FA to GL at the end of the month or in needed.
8- Make the reconciliation between GL and FA module after posting the journals at the end of the month.
9- Make the stocktaking to Fixed Assets.
10- 11 Record all transactions that happened on Jawwal sites (Network) such as Trans between sites or Trans to store. - Record all transaction that stocked out from engineering store to Jawwal sites and charge it for its sites.
12- Make the stocktaking for the engineering stores.
13- Prepare all reports needed for internal and external Auditors.

Senior Fixed Assets Accountants at Palestine Cellular Communication Co
  • Palestine - West Bank
  • July 2006 to September 2007

1/7/2006 - 30/9/2007
Palestine Cellular Communication Co. Jawwal- Ramallah
Senior Fixed Assets Accountants
* Prepare and recorded journal entries for FA
* Make the stocktaking to Fixed Assets
* Prepare all reports needed for internal and external Auditors

Senior Banks Reconciliation Accountant at Palestine Cellular Communication Co
  • Palestine - West Bank
  • April 2005 to June 2006

1/4/2005 - 30/6/2006
Palestine Cellular Communication Co. Jawwal- Ramallah
Senior Banks Reconciliation Accountant
* Prepare Banks reconciliation for all banks accounts.
* Recorded all journals related to banks Checks
* Prepare all reports needed for internal and external Auditors

Banks Reconciliation Accountant at Palestine Cellular Communication Co
  • Palestine - West Bank
  • June 2001 to March 2005

1/6/2001 - 31/3/2005
Palestine Cellular Communication Co. Jawwal- Ramallah
Banks Reconciliation Accountant
* Prepare Banks reconciliation for all banks accounts.
* Recorded all journals related to banks Checks
* Prepare all reports needed for internal and external Auditors

Education

Bachelor's degree, Accounting
  • at Economic College An - Najah National University
  • January 2000

(1995 - 2000) 1995 - 2000 BSc Accounting ( Average 78.1 %) Economic College An - Najah National University, Nablus, West Bank Tel: 09 2394960

High school or equivalent, General Examination Board
  • at Sabasitia Secondary School
  • January 1994

(1993- 1994) 1993 - 1994 General Examination Board, Sabasitia Secondary School ( Scientific Section) ( Average 80.1 %), Nablus, West Bank

Specialties & Skills

Job Posting
Corporate University
Oracle User
Inventory
Fixed Assets
ACCOUNTANT
ACCOUNTING
FIXED ASSETS
INVENTORY
POSTING
RECONCILIATION
THE SALES

Languages

Arabic
Expert
English
Expert

Training and Certifications

محاسب دولي عربي قانوني معتمد IACPA (Certificate)
Date Attended:
June 2016
Tax Office Management (Training)
Training Institute:
الاكاديمية المهنية للعلوم المالية و المصرفية
Date Attended:
January 2016
مستشار مالي مهني (Training)
Training Institute:
المجمع الدولي العربي للمحاسبين الدوليين
Date Attended:
September 2015
PFC Review Course (Training)
Training Institute:
professional Academy for Finance and Management
Date Attended:
August 2015
IACPA Review Course (Training)
Training Institute:
professional Academy for Finance and Management
Date Attended:
January 2015
Telecoms Mini MBA (Certificate)
Date Attended:
June 2013
Valid Until:
January 9999
CMA Review Course. (Training)
Training Institute:
Sky Institute of Technology – Ramallah
Date Attended:
January 2003
Financial Statements Under International Accounting Standards (Certificate)
Date Attended:
April 2007
Valid Until:
January 9999
Fundamental of Access (Certificate)
Date Attended:
June 2006
Valid Until:
January 9999
Advanced Financial Statements Analysis & Planning & Budgeting (Certificate)
Date Attended:
August 2006
Valid Until:
January 9999
Mini MBA in Finance. (Certificate)
Date Attended:
March 2011
Valid Until:
January 9999
Professional Skills for Finance and Accounting (Certificate)
Date Attended:
November 2011
Valid Until:
January 9999