Total Years of Experience: 12 Years, 1 Months
January 2023
To Present
Senior Accounting Manger
at Wndo Busines Soulion
Location :
Egypt - Cairo
Daily work with journal entry. Communicated with vendors and clients to facilitate timely payments and reduce outstanding accounts receivable. Monitored accounts payable and receivable status and delegated tasks as needed. preparing balance sheet, profit and loss statement, and other reports.
May 2021
To December 2022
Cheif Accountant
at Palma De Red Sea
Location :
Egypt - Hurghada
Ensuring the integrity, accuracy, and timelines of all financial records, ensuring all income and liabilities are accurately recorded, reconciled and reviewed.
Delivery of the monthly close process, analyzing transactions and preparing required journals.
Perform month end closing activities such as account reconciliation, revenue recognition, expenses recording, etc.
Work with the internal & external auditors to provide the relevant documents ensuring that all queries are accurately advised.
Ensure the accuracy of the trial balance to reflect the real picture of the company financial position. And prepare monthly Balance Sheet analysis.
Delivery of the monthly close process, analyzing transactions and preparing required journals.
Perform month end closing activities such as account reconciliation, revenue recognition, expenses recording, etc.
Work with the internal & external auditors to provide the relevant documents ensuring that all queries are accurately advised.
Ensure the accuracy of the trial balance to reflect the real picture of the company financial position. And prepare monthly Balance Sheet analysis.
November 2020
To September 2021
Accountant
at Electro Star Company
Location :
Egypt - Cairo
May 2016
To July 2020
General Accountant
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at United Trading & Marketing Ltd. Co. (U-Mark)
Location :
Saudi Arabia - Riyadh
Completed daily accounting tasks including tracking funds, preparing deposits and reconciling accounts.
Compiled general ledger entries on short schedule with 100% accuracy.
Reviewed accounting structures and procedures on regular basis to identify areas in need of improvement.
Generated and submitted invoices based upon established accounts receivable schedules and terms.
Compiled general ledger entries on short schedule with 100% accuracy.
Reviewed accounting structures and procedures on regular basis to identify areas in need of improvement.
Generated and submitted invoices based upon established accounts receivable schedules and terms.
August 2013
To May 2016
Accountnat
at ElectroStar Company
Location :
Egypt - Cairo
• Daily work with journal entry.
• Maintain accounts balance.
• Follow-up customer balances.
• Physical verification of Inventory
• Full reconciliation of General Ledger accounts
• Maintain accounts balance.
• Follow-up customer balances.
• Physical verification of Inventory
• Full reconciliation of General Ledger accounts
June 2012
To August 2013
Accountant
at Mediterranean Wool Industries
Location :
Egypt
Document financial transactions by entering account information. Recommend financial actions by analyzing accounting operations.
Summarize current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Physical verification of Inventory •Prepare payments by verifying documentation, and requesting disbursements.
Prepares special financial reports by collecting, analyzing, and summarizing.
Summarize current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Physical verification of Inventory •Prepare payments by verifying documentation, and requesting disbursements.
Prepares special financial reports by collecting, analyzing, and summarizing.
August 2011
To February 2012
Accountant
at Zahra Company for Contracting and Real Estate Investment
Location :
Egypt - Cairo
General Ledger
Bank Reconciliation
Performs administrative duties and office support activities.
Manage correspondence: letters, memos, e-mail, faxes utilizing appropriate technology and PC applications.
Prepare reports and financial data, charts, and graphs.
Bank Reconciliation
Performs administrative duties and office support activities.
Manage correspondence: letters, memos, e-mail, faxes utilizing appropriate technology and PC applications.
Prepare reports and financial data, charts, and graphs.
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