Northern Governorate, Bahrain
- Supported year-end closing and external audit processes. - Coordinated with project teams to align financial data with operational activities. - Prepared VAT returns and maintained accurate records. - Performed bank reconciliation and investigated variances.
- Maintained accurate records of all daily transactions. - Reconciled bank statements and emsured timely financial reporting. - Processed invoices and managed payables/receivables. - Updated internal financial systems with real-time data.
- Processed customer credit requests and assessed creditworthiness. - Managed outstanding debts and ensured timely collections. - Established credit terms aligned with internal risk policies. - Record daily financial transactions with accuracy.