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Microsoft Office Accounting

Location:
Kuwait
Salary:
300
Posted:
December 10, 2017

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Resume:

Mob: ******** farwaniaa – Kuwait

WhatsApp : *****705

E-Mail : *************@*****.***

Ahmad Farrag Mohamad

■ Personal Details:

Nationality: Egyptian Date of Birth: 03.8.1989

Marital Status: Single Driving License: Private License valid (2022)

Highly-accomplished, hard-working and energetic individual with experience in creating financial statements and annual budgets, as well as managing various tasks related to everyday financial activities. Possess fine-tuned problem-solving skills, developed through experience and knowledge. Qualifications include a bachelor’s degree in accounting, and a deep understanding of accounting methodologies. Proven interpersonal and communication skills, to maintain professionalism at the workplace. Computer proficiency includes Microsoft Office and computerized accounting software.

■ Education:

University Graduation

University: Suhag University.

Faculty: Faculty of Commerce Grade: Good

Graduated at: June/2010

■ Courses:

Accounting Diploma (WALDEN UNIVERSITY).

Diploma in Neuro-Linguistic Programming (NLP).

International Computer Driving License (ICDL).

Completed Training Course Titled: (Develop self – Management Program).

Excel Accounting.

■Languages:

Arabic: Mother tongue English: Good

■Personal Skills

Highly motivated teacher with a deep understanding of education theories and practices. Creative, growth-oriented and positive thinker, with customized and tuned skills towards a career in teaching. Self-motivated to pursue and acquire knowledge related to the field of mathematics and sciences, through every available resource

Previous Employment: ■

Title: Accountant

Company: PACS Engineering General Trading & Contracting Co.

Country: Kuwait .

From: 1/3/2012 TO: NOW.

Responsibilities

Preparing and recording asset, liability, revenue, and expenses entries by compiling and analyzing account information.

Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.

Maintains general ledger by transferring subsidiary accounts; preparing a trial balance; reconciling entries.

Summarizes financial status by collecting information; preparing balance sheet, profit and loss, and other statements.

Analyze financial statements for discrepancies and other issues that should be brought to the CFO’s attention

Conduct monthly and quarterly account reconciliations to ensure accurate reporting and ledger maintenance

Verifying, allocating, posting and reconciling accounts payable and receivable

Producing error-free accounting reports and present their results

Analyzing financial information and summarizing financial status

Record financial information for analysis

Advise on procedure and financial management

Maintain account balances and bank statements

Prepare financial statements and analysis

Assist accounting manager in preparing documents and interpreting complicated financial information for managers

Thanks for giving me this precious time of your



Contact this candidate