
Turki Al Alwan
Bdugeting & Reporting Manager at Confedenecial
Dammam, Saudi ArabiaWork Experience
Bdugeting & Reporting ManagerFull Time
Confedenecial
Jun 2023 - Present -2 yrs, 1 month
- Job Details:Bdugeting, Reporting & Costing
Finance ManagerFull Time
Gulf Industrial System Co
Mar 2020 - Nov 2022 -2 yrs, 8 months
Saudi Arabia , Khobar
- Job Details:as finance manager I am playing the main role in the accounts department to manage day to day tasks completion and to assure that the company operation requirements are meets to avoid any work downtime. Including and not limited to financing the operation by managing the daily cash requirements to make sure the business operation is in line with the managements and owners plans. Prepared daily and monthly report such as financials package and financial analysis required. Follow up with the department heads for daily operation issues like collection and required payments. Ensure of meeting the company procedure in all transactions posted in our book. Review and signs daily expenses and purchase orders. Maintain a good relationship with our customers and suppliers. Reviewing the monthly VAT report sent to our Head office. Manage the yearly external Audit. And fill up the Zakat required schedule.
Accounting ManagerFull Time
Pan Gulf Steel Co
May 2019 - Feb 2020 -9 months
Saudi Arabia , Khobar
- Job Details:Manage the accounts team, check and post all daily transactions, control the expenses by applying company policy, arrange for monthly closing, prepare monthly VAT report, prepare monthly financial report. Managing facility, Bank Authorized Signatory.
Chief AccountantFull Time
Pan Gulf Valves Manufacturing
Feb 2014 - Apr 2019 -5 yrs, 2 months
Saudi Arabia , Dammam
- Job Details:To Adhere to the financial procedures manual and ensure that the accounts are maintained as per GAAP, GL posting and ensure all transactions are accounted relevant period, reconcile accounts with related parties, payroll processing and disbursement and posting, monitoring utilization of bank facilities and ensuring accounts are not overdrawn, motoring and controlling cash flow, prepare monthly cash flow statement, fixed Assets Management and ensure maintenance of proper records, prepare monthly financial statement and related reports ,VAT Report, Managing facility, Bank Authorized Signatory
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Arabic
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