Taher Mansour, Senior Accountant

Taher Mansour

Senior Accountant

BCI Group

Lieu
Jordanie - Zarqa
Éducation
Diplôme, Accounting
Expérience
9 years, 10 Mois

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Expériences professionnelles

Total des années d'expérience :9 years, 10 Mois

Senior Accountant à BCI Group
  • Jordanie - Amman
  • Je travaille ici depuis février 2019

- Prepares monthly adjustment entries (prepaid, depreciation, and accruals).
-Prepares weekly ageing report. Any additional assignment requested by the direct supervisor.
-Preparing Monthly/Annual Sales Tax Report & Income tax Statement.
-Monitoring customers approved credit limits.
-Reviews invoices and payment requests for proper authorization and expenses coding (general
ledger account, department, product, etc.).
-Processes invoices, statements and ensure timely collection of to all channels.
-Records all Management expenses.
- Prepares weekly report about outstanding and due date receivables.
- Keeps tracking and following up for all orders & Accounts Payable.
-Checking the accuracy of figures and calculations, expense report auditing, and providing support
documentation for audits.

Senior Accountant à BCI Mobile
  • Jordanie - Amman
  • Je travaille ici depuis février 2020
Accountant à BCI Group
  • Jordanie - Amman
  • février 2018 à février 2019

 AR Transaction: Issuing Invoices, Deal with Sales Persons, Customer Reconciliations, Applying Receipt Voucher, Reporting as AR Status, AR Aging.
 AP Transaction: Recording Vendors Invoices, Vendor Reconciliations, Issuing Payment for Local Vendors, Issuing International Wire Transfers for Foreign Vendors.
 Bank Reconciliations.
 Prepare monthly adjustment entries (prepaid, depreciation, and accruals).
 Checking the accuracy of figures and calculations, expense report auditing.
 Conducts Annual fixed assets, physical count and reports significant variances.
 Cash management (Treasury department) for Al Zarqa branch

General Accountant à Al-Ezz Food Industries Company
  • Jordanie - Amman
  • septembre 2017 à février 2018

-Verify, allocate, post and reconcile accounts payable and receivable.
- Produce error-free accounting reports and present their results.
- Analyze financial information and summarize financial status.
- Spot errors and suggest ways to improve efficiency and spending.
- Review and recommend modifications to accounting systems and procedures.
- Manage accounting assistants and bookkeepers.
- Prepare financial statements and produce budget according to schedule.
- Preparing, tax audits and tax returns.
- Support month-end and year-end close process.
- Develop and document business processes and accounting policies to maintain and strengthen internal controls.
- Ensure compliance with GAAP principles.

Accountant à JORDAN UAE EXCHANGE
  • Jordanie - Amman
  • juillet 2014 à septembre 2017

• Preparing Monthly/Annual payrolls, Tax reports & Payments, Social Security reports &

Payments as well as Employees Settlements.

• Adjusting Daily Journal entries.

• Periodic reconciliations of vendors accounts.

• Bank Reconciliation.

• Preparing Monthly Reports for the Management, showing the variances between the Actual and the Budgeted Income Statement items.

• Ensure proper classification and categorizations of accounts within journal entries.

• Fixed Assets Calculations and their related depreciation as well as the amortization.

Éducation

Diplôme, Accounting
  • à al quds college
  • février 2014

Specialties & Skills

Word Of Mouth Marketing
Tivoli Access Manager
Data Access
Microsoft Excel
POWERPOINT
ERP system

Langues

Arabe
Expert
Anglais
Moyen

Formation et Diplômes

English courses (Certificat)
Date de la formation:
February 2014
Advance Excel (Formation)
Institut de formation:
computeach center
Date de la formation:
December 2015
ICDL (Formation)
Institut de formation:
Al Quds college
Date de la formation:
February 2014
Durée:
18 heures