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Financial Accountant Accounting Manager

Location:
Riyadh, Saudi Arabia
Salary:
7000-10000
Posted:
June 15, 2021

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Resume:

Personal Information:

Name : Ibrahim Mustafa Ibrahim

Date of Birth: 15-07-1985

Marital Status: Married

Iqama Status: Transferable

Mobile Number : +966**********

Email : adm5ce@r.postjobfree.com

Relocation to find opportunity: Egypt –Qatar-UAE

Academic Qualification:

Bachelor degree of commerce from Tanta University in Egypt Certificate in insurance (IFCE) the Financial Academy in KSA Certificate in insurance (Cert CII) from the chartered insurance institute in London Skills:

1- Team Leader,work under pressure, dependability, adaptability, motivation, problem-solving 2- MS Office Excel,Word and PowerPoint.

3- Program experience IIMS,Oaisis, ERP Escadenia and Alphabetic . Practical Qualification:

Senior Accountant – Acting Accounting Manager

Namar broker insurance company

Non Contracted

Period

09-11-2020 till date

1. Record the daily journal entries on the system. 2. Prepare journal entries for prepaid expenses, accounts payable, accrued expenses, various expense accounts, and other required allocations.

3. Maintain accurate supporting documents for the handled entries. 4. Maintain all payment filling and records.

5. Ensure all reporting complies with the firm's policies and procedures. 6. Responsible for the reconciliation of all the accounts (debtors – creditors – suppliers –clearing acc. – affiliated companies- etc.) and verify balances in various accounting systems. 7. Generate accurate financial statements on a timely basis and ensure that they follow the generally accepted accounting principles and standards. Provide all related supporting documents to external and internal parties during periodic audits.

8. Create and update workflows, systems and chart of accounts that facilitate and improve the finance team’s performance. Consider group activities, objectives and market rules. Use the required connections internally and externally.

9. Develop communication channels between the Finance department and other departments within the firm to facilitate workflows.

10. Provide all required financial data for Saudi Central Bank(SAMA). 11. Manage, prepare and communicate all necessary requirements for governmental, regulatory and tax authorities GAZT.

12. Provide all required financial data needed for decisions support,prepare financial reporting for CEO, Board of director and External Auditor as TAGI Talal Abu Ghazala. Financial Accountant

Broker care insurance company

Period

01-11-2018 to 31-10-2020

A/R: Account receivable for Bcare clients and insurance company. A/R: Prepare and revising commission revenue from insurance company. A/R & Revenues: Create VAT invoice to insurance companies. A/P: Prepare producers commission.

A/P: Payment to supplier, premium to Insurance companies. F/A & Expenses:Create Journal ledger entries by recording purchasing invoices from vendors, And petty cash expenses

C/A & A/P: Recording daily cash in.

Reporting: Prepare Monthly Bank reconciliation.

Reporting: Update customers with statement of account. Reporting: Prepare Vat input returns on purchasing-Vat output on Sales or Revenue to be paid for GAZT. Reporting: Income Statement,Balance Sheet,Cash Flow and Owner equity. Accountant

Wafa Insurance Company

Period

01-12-2012 to 31-10-2018

Responsible of:

Claim payment.

Create entries by recording daily financial bank transaction to close bank reconciliation as fees, withdrawal Cheque or Deposit and transfer on my responsible account. Accordance among statement of account and general ledger to be sure of posting all transactions. Bank reconciliation of my responsible account. 5- Prepare Cash flow. Check outstanding of Customer.

Internal audit in agent statement of account, broker by Statement of account before issue cheque for broker commission.

Netting between policy premium and receipt voucher. Account daily due amount and outstanding of agencies. Filling all original documents for all transaction to help external auditors in their check and review our accounts to prepare their report that we are submitted our statements as per as SAMA.



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