Over the past decade, I have developed a robust background in finance and accounting, gaining expertise in financial analysis, budgeting, forecasting, risk management, and compliance. My experience includes successfully navigating regulatory changes, leading cross-functional teams, managing audits for data-driven decision-making. Throughout my career, I have demonstrated a commitment to excellence, strategic thinking, and continuous growth, making me a seasoned professional ready to address the challenges of the financial landscape.
Supervision of day-to-day financial and accounting management.
Improved balance sheet reconciliation and achieved 100% score in balance sheet audit
Responsible of all A&L reconciliations.
Responsible of owner books posting.
Coordinates, implements and follows up on Accounting SOP audits for all areas.
Preparation of accurate profit and loss statement. Revenue, cost and expenses are posted in the right period and to right accounts, and statements are delivered to appropriate individuals in a timely manner.
Prepare the Monthly Forecast.
Generates and provides accurate and timely results in the form of reports, presentations, etc.
Monitors all taxes that apply, ensuring that taxes are current, collected and/or accrued.
Responsible of the VAT filling.
Leading Month end closing process.
Prepared Bank Reconciliations.
Prepare the cash flow on monthly analysis.
Maintain a strong accounting and operational control environment to safeguard assets.
Provide con structive coaching and counseling to employees, train them for better performance.