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Wael El Nemer, Finance Manager

Wael El Nemer

Finance Manager·ATP Medical

Egypt

Bachelor's degree, ACCOUNTING

Work experience

Total years of experience: 16 years, 4 months

Finance Manager

March 2019 - May 2019

ATP Medical

Kuwait

March 2019 - May 2019

all the accounting process

Company industry:
Medical Hospital
Job role:
Accounting and Auditing

Financial Manager

March 2017 - January 2019

FMSC

Hawali, Kuwait

March 2017 - January 2019

Running all the financial situation of the company for clear and accurate financial positions with full cost control to gain the best results in finance, and improve the business model by giving the top management the ideal solutions for company problems to improve the cash flow, with holding an organized financial books according to the IFRS

Company industry:
Catering, Food Service, & Restaurant
Job role:
Accounting and Auditing

Internal Financial Auditor

July 2008 - November 2016

Kuwait News Agency ( Kuna )

Hawali, Kuwait

July 2008 - November 2016

• Perform and control the full audit cycle including risk management and control management over operations’ effectiveness, financial reliability and compliance with all applicable directives and regulations.
• Act as an objective source of independent advice to ensure validity, legality and goal achievement.
• Identify loopholes and recommend risk aversion measures and cost savings.
• Maintain open communication with management and audit committee.
• Conduct follow up audits to monitor management’s interventions.
• Engage to continuous knowledge development regarding sector’s rules, regulations, best practices, tools, techniques and performance standards.
• Reviewing the SOP and from this developing an audit checklist.
• Protect the financial officers and relieve them of responsibility except in case of fraud.
• Compare that the financial department is implementing the budget estimates correctly with the current financial periodic report and ensure that it is implemented according to the regulations, legislations, and policies of the organization.
• Prepare reports for management concerning scope of audit, financial conditions found, source and application of funds, assets utilization, audit results and develop annual plans.
• Prepare recommendations regarding improving operations and financial position of the organization.
• Prepare a Report to management about, and recommend changes in operations and financial activities by giving an independent and neutral opinion about accounts to achieve the real purpose of the organization by gaining more profits.
•Determine the accuracy of the books and records from the financial officers.
•Examines and analyzes accounting records to determine financial status of data establishment and prepares financial reports concerning operating procedures, Reviews regarding material assets, net worth, liabilities, capital stock, surplus, income, and expenditures, Inspects items in books of original entry to determine if accepted accounting procedure was followed in recording transactions. Counts cash on hand, inspects notes receivable and payable, negotiable securities, and cancelled checks.
•Compare canceled checks with checkbook register and authorizations. Be sure checks and authorizations have been signed by proper officers.
•Reconcile all bank statements since the last audit with the check book, Compare the most recent bank statement balance with the balance in the checkbook and balance in the ledger, and These figures should be the same when reconciled with any checks outstanding or deposits not yet recorded in the statement.
•Verifies journal and ledger entries of cash and check payments, purchases, expenses, and trial balances by examining and authenticating inventory items.
•Protect the financial officers and relieve them of responsibility except in case of fraud.
•Compare that the financial department is implementing the budget estimates correctly with the current financial periodic report and ensure that if it is really implemented according to the regulations, legislations, and policies of the organization by reconcile the three quarter reports of the financial period with the final quarter.
•Report to management about asset utilization and audit results, and recommend changes in operations and financial activities by giving an independent and neutral opinion about accounts to achieve the real purpose of the organization by gaining more profits

Company industry:
Journalism
Job role:
Accounting and Auditing

Financial Controller - Part time

February 2013 - July 2014

Sugar & Spice Gourmet Desserts & Savories.

Al Kuwait, Kuwait

February 2013 - July 2014

1.Handling all procedures for All the accounts in the general ledger by making all the entries needed such like journals, Payments Vouchers and Received vouchers according to the accounting case that I’m holding with all supporting documents required .
2.Preparing All the Fixes Assets Required Account With Supervising the Physical Count For the FA with very Developed and intelligent System.


3.Prepare daily/monthly entries for Tenants accounts & Suppliers Accounts.


4.Preparing the bank reconciliation monthly or any accounting period required.

5.Handling and taking responsibility to run a system for the company by making the chart, cost centers, all accounts by much known software ( Omega Oracle ).


6.Holding all the procedures of the petty cash and preparing the payment vouchers and checks.

7.Preparing Salaries & Provisions.


8.Preparing P&L Statement, trial balance, , Cash Flow Statement, balance sheet.


9.Preparing Reports to the External Auditors When Required.

Company industry:
Hospitality & Accomodation
Job role:
Accounting and Auditing

Financial Manager - Part time

May 2010 - May 2013

Optimal Solutions For managment & Marketing Consultancy

Al Kuwait, Kuwait

May 2010 - May 2013

Handeling All the Accounting Transactions and reports, Changing the accounting System was in the company from manual System ( Books ) to Computeraized, Issue Invoices and prepare checks, Making a fixed assets Reguister on the system with the supporting documents on Excel Sheets, Giving all the accounting consultancy possible to gain more profits and prepare financial statments ( BS - P& L - CFS ) At any accounting period required, Handeling also the bank accounts with monthly reconcilation, Prepare the Balance sheet at the end of the year after the posting for all transactions, dealing with external auditors at the end of the year .

Company industry:
Primary, Prep, & Secondary School
Job role:
Accounting and Auditing

Senior Accountant

June 2007 - July 2008

Ajial National Educational Company .

Kuwait

June 2007 - July 2008

Im used To Work in Ajial Educational Company As a General Accountant in all the accounting fields like AR - PA - Payroll - Jornals - Trial Balances - Reviewing all the accounts in the last of the year or any period with the Audit - Participating in the annual Balance Sheet And budjets .

Company industry:
Primary, Prep, & Secondary School
Job role:
Accounting and Auditing

Senior Accountant

October 2005 - May 2007

R&A Hotel Apartments

Kuwait

October 2005 - May 2007

Working As Senior Accountant Handelling the Bank Statment Reconcillation, Making The Payment And Reciept Vouchers, Makeing All the Excel Sheets Required From the Managers With Details .Used to work as an account recievable account by 1-Handling all procedures & Reconciliation of clients’ accounts.
2-Conduct daily revision on client delayed payments on cash or vouchers; as per due dates.
3-Control and maintain the company accounts and comparing vouchers & payments.
4-Participate in preparing the annual budget for Finance department.
5-Prepare daily / monthly entries for client’s accounts.
6-Using a very known accounting software program ( Comsys ) for entries, And training on Microsoft accounting software program ( Great plains ) .

Company industry:
Accounting
Job role:
Accounting and Auditing

Accounts recievable Specialist

October 2004 - October 2005

Ring Distributing

Cairo, Egypt

October 2004 - October 2005

Used to work as an account recievable account by 1-Handling all procedures & Reconciliation of clients’ accounts.
2-Conduct daily revision on client delayed payments on cash or vouchers; as per due dates.
3-Control and maintain the company accounts and comparing vouchers & payments.
4-Participate in preparing the annual budget for Finance department.
5-Prepare daily/monthly entries for client’s accounts.
6-Using a very known accounting software program ( Comsys ) for entries, And training on Microsoft accounting software program ( Great plains ) .

Company industry:
Accounting
Job role:
Accounting and Auditing

Stock Controller Specialist

October 2002 - September 2004

Developed company for air-conditioning ( union-aire )

Cairo, Egypt

October 2002 - September 2004

Used to work as a Stock controller accountant by 1-Handling all procedures of stock accounts control.
2-Pricing raw materials received from head office and other agencies. 3-Daily revision and registration of finished product quantities received from store.
4-Participating in preparing the annual budget for Finance department.
5-Preparing daily and monthly entries for stores.

Company industry:
Accounting
Job role:
Accounting and Auditing

Education

Ain shams university

June 2002

June 2002

Bachelor's degree, ACCOUNTING

Egypt

GPA (percentage): 60%

GPA (percentage): 60%

I have finished my college study - Magor accounting in 2002 from Ain - Shams University

Skills

Microsoft Office
Expert
Microsoft Office
Expert
Skills Assessment
Expert
Skills Assessment
Expert
Accounting
Expert
Accounting
Expert
Accounting Programms
Expert
Accounting Programms
Expert
Auditing
Expert
Auditing
Expert
Accounting Skills & English Communications , System Skills
Expert
Accounting Skills & English Communications , System Skills
Expert
Contracts Auditing
Expert
Contracts Auditing
Expert
Computerized Accounting softwares - Ms office - time management - Expert Eyes
Expert
Computerized Accounting softwares - Ms office - time management - Expert Eyes
Expert
Analytical thinking
Expert
Analytical thinking
Expert
Excellent command of Windows XP, MS Office 2002,2007,2010
Expert
Excellent command of Windows XP, MS Office 2002,2007,2010
Expert
Planning & budgeting
Intermediate
Planning & budgeting
Intermediate
Typing
Expert
Typing
Expert
Auditing
Expert
Auditing
Expert
Microsoft Office
Expert
Microsoft Office
Expert
Skills Assessment
Expert
Skills Assessment
Expert
Accounting
Expert
Accounting
Expert
Accounting Programms
Expert
Accounting Programms
Expert

Languages

Arabic
Expert
English
Expert

Training and Certifications

Certifications
CMA
Pitman Training Center
Jan 2011 - Mar 2011

Hobbies

  • تكنولوجيا المعلومات - الرياضه - السينما - المحاسبه - إقتناء الأغراض الثمينه
    التطور في العمل بإستمرار وعدم الوقوق عند حد معين في التطور ، البدء من الصفر وعدم اليأس من صعوبات الحياه بالإجتهاد والصبر