Shadi Nofal

Accounting Manager
September 17, 1979

About Candidate

•        Administered monthly closing, Balance Sheet. Controlling and supervising and responsible for reporting (Daily, Monthly, and Quarterly).

•        Ensure balance sheet reconciliations, monthly and yearly financial statements are prepared for review with the Finance Managment.

•        Ensure all payments to suppliers, staff, and other external parties are made according to Embassy policies and procedures.

•        Prepare reconciliations of bank statement, account payable and account receivable periodically and report if any discrepancies are found.

•        Prepare and review expense, payroll entries, invoices, and other accounting documents.

•        Ensure invoices have gone through a detailed verification before they are approved for payments.

•        Ensure the preparation and approval of GL. .

•        Liaise with bank to ensure transactions are processed in a timely manner.

•        Assist the Finance Manager with internal and external auditors and third parties on queries and data requests. Prepare the reply to the queries received from department heads, banks, DOF and regulatory agencies.

Location