
Mohamed Ghorab
FeaturedAbout Candidate
Results-driven Senior Accountant with 10+ years of comprehensive experience managing full accounting cycles, financial reporting, and
ERP implementations across major contracting, commercial, and decoration sectors in Qatar. Expert in building structured accounting
systems, managing multi-entity financial operations, and ensuring compliance with International Financial Reporting Standards (IFRS).
Proven track record in budgeting, forecasting, and treasury management, with a strong ability to streamline financial controls and
deliver cost-saving initiatives.
Location
Education
Work & Experience
Managed day-to-day accounting entries and ensured accuracy in general ledger transactions. • Handled full accounts payable and receivable cycles to support operational cash flow. • Maintained and updated the fixed asset register, ensuring timely depreciation postings. • Assisted in preparing monthly project invoices and supported the collection process.
Supervised monthly account reconciliations and ensured alignment with company policies. • Reviewed and validated project invoices and followed up directly with clients for collections. • Managed banking operations including Letters of Credit (LCs), Letters of Guarantee (LGs), and other financial transactions. • Led month-end and year-end closing activities, ensuring timely financial reporting
Prepare financial statements and manage full accounting cycle up to finalization. • Perform monthly reconciliations and resolve discrepancies in financial records. • Implement financial policies and improve internal control procedures. • Monitor inventory records and ensure accurate stock valuation. • Communicate financial results to management clearly and effectively.
• Managed the full accounting cycle and led month-end and year-end closing activities across multiple business units. • Implemented financial reporting frameworks in compliance with IFRS, ensuring maximum accuracy in financial statements. • Spearheaded the annual Budgeting and Forecasting processes, conducting variance analysis to optimize operational expenses (OpEx). • Coordinated with External Auditors during year-end financial audits, facilitating timely completion with zero non-compliance findings. • Built and maintained a structured Chart of Accounts (COA) aligned with corporate and operational requirements. • Prepared segmented monthly P&L reports, providing executive management with actionable data on performance and profitability. • Performed strict bank and cash reconciliations, strengthening internal controls and securing healthy cash flow management. • Coordinated with the procurement and supply chain team for landed cost integration and accurate cost calculations
