30+ years overall Experience as Finance Manager, Chief Accountant, Auditor, managing Cash, Analyzing the business growth, Auditing ,Financial Control, taking day to reports from Sales, Manufacturing, Construction Site and providing them with solution for upbringing of business at same time act as bridge between Board of Director and Various Company's Department Under holding banner,
Provided Valuable Intake for Board of director to enhance the business, Follow-up to raise VAT declarations, Zakat, and income tax, submit objections if necessary, and discuss them with the General Authority for Zakat and Income. Follow up with local and regional banks in order to obtain credit facilities that support the activity and manage the credit facilities.
Ø Review all financial statements from 2012 to 2021 and determine the differences between the financial statements and trial balances.
Ø Together with the audit office, amend and correct the financial statements in accordance with the accrual principle, amend the opening balances on January 1, 2020, amend the financial statements for the years 2020-2021, correct the entry of financial statement data for the year 2022, and then prepare the financial statements and their amendments.
Ø Reviewing all tax returns from the fiscal year 2018, amending them, introducing the concept of tax and its regulations to the company and the financial management department, and applying accounting principles and international standards in preparing reports.
Ø Issuing financial reports and developing reports that helped develop the follow-up of the company’s business implementation, improve profitability rates, and increase revenue
PREVIOUS EXPERIENCE
Ø Follow Up, Preparing, Approved, Analysis The Financial Reports And Discussing With Administration
Ø Follow-up on preparing periodic reports, analyzing them, and submitting them to higher management
Ø Managing cash by directing its disbursement and following up and directing its collection.
Ø Follow up with local and regional banks in order to obtain credit facilities that support the activity and manage the credit facilities.
Ø Follow-up to raise VAT declarations, Zakat and income tax, submit objections if necessary, and discuss them with the General Authority for Zakat and Income.
Ø The ability to prepare all financial reports.
Ø Participation in the meetings of the Board of Directors and the higher management meetings.
Ø The ability to write policies and procedures for companies.
Ø A knowledge of doing feasibility studies for new projects.
Ø Preparing the companies' estimated budgets, following up on their implementation, and measuring their implementation.
Ø Managing the Oracle software team and implementing an Oracle project for all group companies.
JVs Entry
Manage the time
Teem Management
Strength and honesty