Total Years of Experience: 3 Years, 7 Months
July 2013
To January 2017
ACCOUNTS MANAGER
at AL IDRAK INTERNATIONAL TRADING LLC
Location :
Oman - Muscat
Accounts Manager
Al Idrak International trading LLC
The company is a developing contracting company in Oman doing regular government projects mainly concentrated in construction and civil contracting, having subsidiary concerns in IT and cleaning
As an accounts/administration manager my job was to monitor and manage daytoday activities in these 3 companies and reporting to the management (to the CEO and Chairman on a weekly and monthly basis)
Responsibilities
Managing a team of 3 accountants and coordinating activities to generate reports
managing the sales team of 6 members in IT company to maximize the sales
Daily and monthly report to the Principal Partners and attending meetings
training to the team
scheduling daily and weekly meetings with team and reporting to CEO and Chairman
checking the accounting entries and preparing annual reports to the auditor
profit and loss accounts
cash flow statements
budgeting
finalization of accounts
project wise profit analysis
managing payroll
managing payable/receivable
bank reconciliation
dealing with vendors and purchase cost comparison etc.
Al Idrak International trading LLC
The company is a developing contracting company in Oman doing regular government projects mainly concentrated in construction and civil contracting, having subsidiary concerns in IT and cleaning
As an accounts/administration manager my job was to monitor and manage daytoday activities in these 3 companies and reporting to the management (to the CEO and Chairman on a weekly and monthly basis)
Responsibilities
Managing a team of 3 accountants and coordinating activities to generate reports
managing the sales team of 6 members in IT company to maximize the sales
Daily and monthly report to the Principal Partners and attending meetings
training to the team
scheduling daily and weekly meetings with team and reporting to CEO and Chairman
checking the accounting entries and preparing annual reports to the auditor
profit and loss accounts
cash flow statements
budgeting
finalization of accounts
project wise profit analysis
managing payroll
managing payable/receivable
bank reconciliation
dealing with vendors and purchase cost comparison etc.
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