Description
I have Transferable Visa with NOC ;I am looking for new role in accounts field in Qatar and I believe that my experience , skills , and qualifications are an ideal match to the job's requirements . Accounting professional with around Six years of experience & possesses multiple skills covering many financial areas such as financial statement , bank reconciliation , general ledger , accounts payable , accounts receivable and petty cash. I am a Master's in commerce ( M.com ) . I would welcome the opportunity to tell how my skills and experience would be an asset to the organization which hires me , and I am available for interview at any time . I can relocate and join the work immediately . I have transferable visa with Noc .
Worked as a Senior Accountant Handled Accounting operation of Aladdin Trading, Contracting & Services – From April 2023 to till date, Authorized distributor of Oxygizer water and manufacturer of Wet Wipes & BioCare Products.
• Managing petty cash, including recording petty cash expenses.
• Overseeing overall expenses, including rent and utility bills.
• Handling item costing and preparing cost sheets for every consignment.
• Following up on GRN and generating sales invoices on a daily basis.
• Performing bank reconciliations.
• Controlling and monitoring the issuance of CHEQUE TRACKER to vendors and monitoring PDC cheques.
• Preparing customers statement of account at the end of the month.
• Reconciling vendor and customer statements.
• Preparing sales reports and item-wise sales comparison reports.
• Generating weekly order analysis reports.
• Preparing monthly Profit and Loss statements & Balance Sheets.
Worked as an Accountant Handled Accounting operation of SOUQ AL BALADI
(Q CHOICE TRADING & SEVICES W.L.L) – From August 2022 till April 2023, Dealing in Trading and supplies of Meat products, suppling to major outlets across Qatar.
• Verify and process invoices and vendor payments in a timely and accurate manner.
• Verify and process customer invoices and receipts in a timely and accurate manner.
• Reconcile vendor statements and resolve any discrepancies in a timely manner including major vendors (Widam Foods, Qatar National Import &
Export, Shine Trading) etc.
• Reconcile customer accounts and resolve any discrepancies in a timely manner including major customers (LULU, CARREFOUR, YEMEK DOHA
CATTERING, QATAR AIRWAYS) etc.
• Reconcile Customs Clearing Agent statements and preparing payment and resolve any discrepancies including major Agent (Jassim Customs, NBN Logistics, Pacific Customs, Al Shohob Shipping) etc.
• Respond to vendor internal inquiries regarding payment status and payments
related issues.
• Interbranch reconciliation with related units
• Bank reconciliation on a daily basis in multiple Currencies
• Preparing fund analysis report depicting the inflow and utilization
• Preparation of daily aging report with outstanding receivables & payables
• Controlling and monitoring of CHEQUE TRACKER / TT TRACKER issued to
vendors and monitoring of PDC checks issued by the customer.
• Cost calculation and Preparing cost sheet on every shipment.
• Posting incoming & outgoing entries in SAP on daily basis
• Looking Overall Expense including rent & utility bills
• Prepare Income Statement & Balance Sheet at the end of the month.