Summary of Career
1. Financial Reporting
2. Book-keeping
3. Vendor Management
4. Cash flow Management
5. Reconciliation
6. Petty cash Handling
7. Banking
8. VAT, CT
9. Invoicing
10. Accounts Payable/Receivables
Experience as Campus Accountant
Concordia Colleges (A project of Beaconhouse)
06 July 2016
31 May 2023
Preparing financial statements and reports for school administrators, boardmembers.-Overseeing accounts payable/receivable, managing invoices, bill payments,andensuringtimely payments to vendors and receipt of payments fromstudents andother sources.-Processing and managing employee payroll, including calculating wages andbenefits.-Ensuring financial records are accurate and up-to-date. -Managing cash flow to ensure sufficient funds are available for ongoing expensesandplanningfor capital improvements or unexpected emergencies. -Managing grants and contracts awarded to the school, tracking expenditures, andensuringcompliance with grant and contract requirements. -Analyzing financial data to identify trends, cost savings opportunities, andareasforimprovement, and providing financial guidance to school administrators. -Identifying and mitigating financial risks to ensure the school's financial stabilityandsuccess.
Experience as Accountant
Alsaqr Accounting and Bookkeeping
17 June 2023
13 September 2025
-Maint. accurate financial records, accounts payable, accounts receivable, andgeneralledger.- Preparing financial statements, such as balance sheets, income statements, andcashflow.- Managing accounts, including reconciliations, and ensuring accuracy andcompliance.- Assist in budgeting and forecasting processes, and support decision-making. - Ensuring compliance with financial regulations, policies, and procedures. - Assist analyzing financial data to identify trends, variances, and opportunitiesforimprovement. - Performing month/year-end close procedures, including reconciliations andfinancialstatement preparation. - Recording financial transactions, including journal entries and account postings. - Maintaining and organizing financial documents, including invoices, receipts. - Registering client establishments for VAT and Corporate Tax and preparingreturns.
Bachelor 01 January 2004
Accounting Taxation ITACCA