The Al Melehy Group of Companies is a major Client of ADNOC Group of Companies for the last 35 Years. Al Melehy is Providing ADNOC Group with its Human Capital Services as well as Equipment Supply on efficient and timely manner.
As an Accountant my responsibilities were Compiling MIS financial reports, reporting on overall performance of the daily, weekly, and monthly reports including cash flow, sales report, variance of actual and budgeted figures, and outlook for the year, MIS bank report, and projected cash flow. Finalizing the monthly and annual accounts, trial balance, P&L accounts, receivable/payables accounts, inventory, fixed assets and balance sheet, posts journal entries, and financial data to appropriate accounts within an automated accounting system. Responsible for maintaining all banking operational details. Managing the accurate filing of overall journal backup, petty cash vouchers, and bank vouchers. Preparing and submitting VAT Returns to Federal Tax Authority.
Admin Officer
ADNOC Offshore
01 September 2014 β
31 May 2015
ADNOC Offshore is a major producer of oil and gas from the offshore areas of the Emirate of Abu Dhabi. Itβs part of Abu Dhabi National Oil Company (ADNOC).
As a Planning Administrator my duties were to prepare cost optimization Plan for ADNOC Offshore & Coordinate with Finance department to run the budget of the company efficiently. Meet higher management of Umm Shaif Field Division and work on the plan according to their guidance to run the business smoothly.
Assistant Accountant
Al Melehy Human Resource Services
17 March 2014 β
31 August 2014
The Al Melehy Group of Companies is a major Client of ADNOC Group of Companies for the last 35 Years. Al Melehy is Providing ADNOC Group with its Human Capital Services as well as Equipment Supply on efficient and timely manner.
As an Asst. Accountant my responsibilities were Compiling MIS financial reports, reporting on overall performance of the daily, weekly, and monthly reports including cash flow, sales report, variance of actual and budgeted figures, and outlook for the year, MIS bank report, and projected cash flow. Finalizing the monthly and annual accounts, trial balance, P&L accounts, receivable/payables accounts, inventory, fixed assets and balance sheet, posts journal entries, and financial data to appropriate accounts within an automated accounting system. Responsible for maintaining all banking operational details. Managing the accurate filing of overall journal backup, petty cash vouchers, and bank vouchers