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Work experience

March 2017 Present


Ghaleb Abu Jiries and partner company & Alsham For Equipment
  • Daily bookkeeping and accounting processes including:  A/R,A/P, bank reconciliation 
  • Execute monthly payroll activities
  • Receive and deposit all revenue.
  • Prepare monthly and quarterly financial reports.
  • Tracing Shipping Policy.
  • Prepare for drafts Tender.
  • Prepare Quantity surveying for project.
  • Audit of accounting books, invoices payment and receipt vouchers.
  • Preparation of financial claims for clients.
  • Preparation of financial Statement.
Jun 2014Oct 2014

Bank Teller

Housing Bank for Trade & Finance
  • Process transactions accurately and efficiently in accordance with established policies and procedures.
  •  Efficiently operate computer software used to perform daily duties “Fin-core".
  •  Daily operations with check cashing, deposits, withdrawals, and foreign exchange.
  •  Perform operations providing cashier checks and money orders" western union"
  • Experience in handling a daily volume of over 120 transactions.
  •  Handled routine financial transactions such as deposits, withdrawals, advances, loan payments, check cashing and balanced these transactions daily while ensuring a positive interaction with customers and non-bank customers.
  •  Balanced currency, coins and checks in cash drawers at the end of shifts and calculated daily transactions using computers and calculators. 
Jan 2012Jan 2014


Al Nukhba Engineering For Gas & Fuel
  • Responsible for data entry, including invoice and generating checks and accounts payable and accounts receivable and Expenses and Salaries using dolphin Pro.
  • Writing checks and delivered to suppliers
  • Preparation of bank reconciliations
  • Preparation settlements with customers and suppliers.
  • Collection from customers.
  • Prepare daily reports and delivered financial director.
  • Audit of accounting books, invoices payment and receipt vouchers