Business-minded Finance Manager promoting more than [29] years of expertise overseeing transactions and reconciling monthly financial reports. Highly collaborative individual with track record of effectively training and coaching staff members. Offering confidence, team contribution and decision making skills.
Overview
30
30
years of professional experience
Work history
Finance manager
Golden Nouran insurance Brokerage
Jeddah, Mecca Region
2014.09 - Current
Developed thorough forecasting and cash-flow management processes to maximise progression and profitability.
Monitored and reviewed financial controls, processes and procedures to enable best practice development.
Managed timely and accurate reporting of various financial transactions and information for detailed analysis.
Recruited high-achieving team members for enhanced department performance.
Applied advanced Excel skills to efficiently analyse large data sets.
Collaborated with business management to set and control annual budgets.
Finalised VAT returns with rigorous transaction checks.
Coached and mentored junior staff to maximise finance department capabilities.
Reviewed bookkeeping and management accounts to achieve clear and correct reports.
Managed daily finance services for smooth business operations.
Chief accountant
Salama insurance co
Jeddah, Mecca Region
1994.03 - 2014.05
Reviewed and processed employee expense reports and vendor invoices for payment.
Updated journal entries and accounts on accrual basis with Xero software.
Reconciled accounts from income and expense data to net worth and assets.
Maintained integrity of general ledger, including chart of accounts.
Accurately documented all cash, credit, fixed assets, accrued expenses and line of credit transactions.
Created quarterly and yearly balance sheets to track financial trends and performance.
Created periodic reports comparing budgeted costs to actual costs.
Analysed monthly reporting to reconcile production operations and general ledger.
Analysed monthly balance sheet accounts for corporate reporting.
Prepared monthly bank reconciliations and compiled reports for financial reviews.
Filed tax returns and prepared governmental reports in compliance with strict standards.
Checked and imported payroll and pension data to pay salary deductions.