P*****s
About Candidate
Salary
Nationality
Looking for Job Title
Iqama
Location
Education
Completed
Completed
Completed
Work & Experience
•Prepared and presented accurate financial reports, ensuring compliance with regulatory standards and providing strategic insights for decision-making. •Led the annual budgeting process, coordinating with department heads to align budgets with organizational objectives. •Developed financial forecasts based on historical data and market trends, supporting proactive business planning. •Conducted cost analyses to identify inefficiencies, recommending initiatives that enhanced profitability and operational efficiency. •Monitored cash flow and optimized working capital to meet operational needs effectively. •Liaised with auditors, facilitating smooth audits, addressing queries, and implementing compliance recommendations. •Built strong relationships with banking institutions, optimizing financing solutions and managing banking operations.
•Prepared accurate financial statements in compliance with accounting standards, providing insights for management. •Assisted in budget development and monitoring, ensuring alignment with organizational goals and fiscal responsibility. •Conducted financial forecasting to support strategic planning and resource allocation. •Prepared detailed management reports on financial performance, variance analysis, and key metrics for decision-making. •Monitored cash flow, analyzed trends, and recommended actions to optimize working capital. •Prepared schedules for Income Tax, VAT, and SSL, ensuring timely compliance with statutory requirements. •Executed regular account reconciliations, resolving discrepancies promptly to ensure accuracy. •Managed banking relationships, facilitating transactions and optimizing cash management strategies. •Supported audits by preparing documentation, addressing inquiries, and implementing recommendations. •Contributed to new accounting system implementation, improving processes and training staff. •Supervised export activities and bond warehouse operations, ensuring regulatory compliance and efficiency.
•Prepared financial reports during construction and post-commercialization, ensuring compliance with accounting standards. •Compiled detailed management reports, analyzing project costs, revenue projections, and key performance indicators for informed decision-making. •Monitored cash flow throughout the project lifecycle, ensuring liquidity during construction and efficient operations post-commercialization. •Managed banking relationships to secure construction financing, ensure timely payments, and optimize cash flow across all project stages. •Supported audit processes by preparing documentation, addressing inquiries, and implementing audit recommendations. •Prepared schedules for Income Tax, VAT, and managed statutory payments, ensuring compliance. Facilitated acquisition of hotel-related licenses. •Overlooking the fixed assets import and local purchase processes. •Maintained regular account reconciliations and updated the fixed asset register, ensuring accurate tracking of project assets.
•Compiled and presented financial statements, as well as handled diverse bookkeeping tasks by SLRFS & LKAS standards (comparable to IFRS & IAS •Strategized and executed year-end audits, concluding the audit process with up-to-date working files. •Generated management reports for different projects by analyzing financial reports. •Developed Income Tax schedules, reconciled them with pertinent ledger accounts, and filed returns. •Created internal reports and procedural manuals. •Assessed internal controls, and proposed enhancements to optimize system functionality.