Diligent Accountant with strong accounting background and proven industry expertise. Monitored business operations and regulatory compliance for large corporation. Superior account management and reconciliation skills leading to achievement of desired results.
Overview
11
11
years of professional experience
Work History
Accountant
ABDUL AZIZ M. AL-MADHI & PARTNER CO.
TABUK
03.2023 - Current
Prepared financial statements and reports for management review.
Managed accounts payable and receivable processes efficiently.
Processed payroll accurately and on time for all employees.
Conducted monthly reconciliations of bank statements and accounts.
Maintained accurate records of financial transactions in accounting software.
Provided support in tax preparation and filing processes for the company.
Managed accounts receivable and payable, reconciled bank statements, and prepared financial reports.
Created journal entries accurately and timely for month end close processes.
Prepared monthly closing entries for multiple companies' books of records.
Reviewed invoices for accuracy and completeness prior to payment processing.
Maintained up-to-date knowledge of Generally Accepted Accounting Principles guidelines.
Assisted in the preparation of tax returns by gathering necessary information from clients and maintaining organized files with documents related to taxes.
Managed accounts payable and receivable, improving cash flow management.
Gathered banking transactions via statements, recorded activity in Excel format and reconciled balances.
Posted financial data in Excel spreadsheets and managed inventory.
Investigated and resolved billing issues to maximize cash flow and minimize liabilities.
Accountant
DAIM AL-NAHDA READY CONCRETE COMPANY
BISHA
05.2014 - 01.2023
Managed accounts payable and receivable processes efficiently.
Processed payroll accurately and on time for all employees.
Conducted monthly reconciliations of bank statements and accounts.
Maintained accurate records of financial transactions in accounting software.
Provided support in tax preparation and filing processes for the company.
Managed accounts receivable and payable, reconciled bank statements, and prepared financial reports.
Created journal entries accurately and timely for month end close processes.
Prepared monthly closing entries for multiple companies' books of records.
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