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Accounting Accountant

Location:
Jeddah, Makkah Region, Saudi Arabia
Salary:
13000
Posted:
October 21, 2019

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Resume:

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Profile

Personal Information

Name Wailed saad abdelhakeim

Birth Date 23st of Jan 1989

Nationality Egyptian

Marital Status Married

Military Status Final postponed .

Address Jeddah-Saudi Arabia

Iqama Transferable

Contact Information

Mobile 009**-*********

Mobile 009***********

E-Mail adam6z@r.postjobfree.com

My Own Vision

I’m Seeking a Management-level position in a multinational firm, leading to a career in planning and accounts management, I am CMA Holder, With over 7 years of experience in Accounting, My experience includes preparing and analyzing all financial reports and statements and I kept detailed financial records for the company. I have developed and maintained company budgets, preparing monthly reports and submitting the reports to upper management for reviews.

Education & Languages

Education :

Faculty Faculty of Commerce

Graduation Year 2010

University Assuit University

Languages Skills :

Arabic Mother Tongue

Grade Excellent

English Excellent

Courses

Courses:

CMA Holder.

Peachtree program and advanced excel (AMIDEAST in Egypt )

English Conversation Course. (AMIDEAST in Egypt )

MS Office package skills .( Khaleej Jeddah )

ICDL

General Skills

General Skills:

2

Excellent Accounting knowledge, Proficient in accounting software Special in ERP.

Excellent computer and communication skills.

Accuracy, alertness, efficiency, and attention to details.

Highly organized, self-motivated and problem solving.

Very Good negotiation skills and ability to plan and prioritize work.

Ambitious, cooperative, have team spirit, creative, responsible, fast learning, self-learning and have the ability to work under pressure. Work experience

Date Company Name Job title Logo

Oct 2014 - Now Alsourayi Company Int.

Senior Accountant

Job Description:

Preparing account entries by using Stallion ERP.Net 2009, preparing bank reconciliation, Ledger entries, Made entries of invoices, reviewing and correcting accounting entries, reconcile discrepancies and generate financial reports.

Preparing financial statements and reports.

Preparing company budget and comparing with actual results and analyzing variances

Following up bank balances, customers, suppliers and provide them periodically, detect and follow up and take the necessary precautions and put credit ceiling for each of them.

Preparing monthly and yearly depreciation, assets reports for all institution assets.

Preparation of monthly employees' salaries, and calculating employee benefits at the end of the service legally.

Follow-up expenses of the institution and make sure to carrying to the true cost centers.

Provide advice and guidance for owners and provide an opinion about what the terms of Business and Finance in the form of reports.

Monitors financial performance by measuring and analyzing results; initiating corrective actions; minimizing the impact of variances

Date Company Name Job title Logo

Jun 2012 - Jun 2014 Qela for constructions

Accountant

Job Description:

Preparing account entries by using Smacc accounting program, preparing bank reconciliation, Ledger entries, Made entries of invoices, reviewing and correcting accounting entries, reconcile discrepancies and generate financial reports

Book keeping for the general ledger of the bank account.

Controls the bank account and its position, preparing final reconciliation statement at the end of every month

Prepare, review, and follow up bank transfers.

Prepare financial statements, audit report and management letters. 3

Joined in preparing financial statements, (Balance sheet, income statement, cash flow statements).

Communicate with suppliers in respect of accounts.

Prepare monthly and annual reports of material planning accounts. Date Company Name Job title Logo

Mar 2011 - May 2012 GIZA YACHT CLUB

Accountant

Job Description:

Issuing the clients invoices and following up the payment process.

Preparing bank transfers to vendors and recorded in the form of accounting entry.

Recording the Journal Entries on the accounting program.

Preparing Accounting reports (income statement, balance sheet, trial balance) for branch.

Following up the attendance for salary calculations, Preparing the monthly Salaries

Treasury inventory daily and prepare for a daily treasury reports Finally I hope to be one of your sincerely staff



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