Currently working as an Accountant in a reputed retail firm in Kuwait
- Prepare monthly Bank Reconciliations.
- Compile, enter and post monthly adjusting journal entries.
- Handling Petty cash.
- Perform supplier reconciliation.
- Evaluate Account Statement for clients.
- Organise customer payment.
- Assist Senior Accountant in developing financial strategies.
- Prepare documents and files for creating reports.
- Perform invoices processing for firm wide vendor payments and monthly account receivables billings.
- Import costing
- Perform other duties as assigned or requested.