Hani Altalli, CMA
Finance Manager at Birmingham Innovations Ltd- Claim this Profile
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Arabic Native or bilingual proficiency
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English Native or bilingual proficiency
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German Limited working proficiency
Topline Score
Bio
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Credentials
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Certified Management Accountant (CMA)
IMA | Institute of Management AccountantsApr, 2020- Sep, 2024 -
Certified Management Accountant (CMA)
IMA | Institute of Management Accountants
Experience
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Birmingham Innovations Ltd
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United Kingdom
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Retail
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1 - 100 Employee
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Finance Manager
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Dec 2019 - Present
• Managing a team of four great team members and making sure all transactions are accounted for in a timely and accurate standard. • Creating management Information (MI) by the end of month and ensuring the month is closed within the specified time frame (Profit & Losses management reports, balance sheet, product profitability, cash flow utilization model, cash flow forecast, cash flow schedule) • Reconciling balance sheet accounts on a monthly basis (Banks, Receivables, Payables, provisions, and Equity accounts) • Revising P&L accounts on a monthly basis • Managing the Sales and Purchase ledger • Managing payments after supplier accounts are reconciled • Managing stock levels, stock reports, and stock takes • Handling payroll runs and calculations • Calculating and preparing VAT filings, submissions and import VAT payments • Managing factored and proforma customers’ accounts • Preparing Ad hoc analysis and commentary
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Azadea Group
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United Arab Emirates
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Retail
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700 & Above Employee
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Accounting Specialist
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Apr 2019 - Sep 2019
• Identifying key limitations in automated processes and ways of improvements• Overseeing other people’s work and making sure record-keeping is accurate• Managing fixed assets, accruals, prepayments, and GL accounts• Training new employees on accounting principles and company procedures• Generating financial statements and facilitating account closing procedures each month• Handling full cycle costing for fashion, F&B, and furniture sectors• Liaising with auditors (external & internal)• Reconciling balance sheet accounts on a monthly basis to make sure numbers are not under/overstated• Revising P&L accounts to determine budget variances and their cause and effect• Dealing with margins analysis, income tax calculation, and record-keeping
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Junior Accounting Specialist
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Feb 2018 - Mar 2019
• Recording day-to-day transactions• Recording provisions, royalties, management fees, etc.• Reconciling bank statements• Facilitating account closing procedures each month• Reconciling supplier accounts
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Junior Management Consultant
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Nov 2017 - Jan 2018
• Conducting feasibility studies • Preparing business plans and business models • Preparing and submitting proposals • Preparing projected financial statements • Analysing financial statements and ratios • Preparing investment teasers • Conducting feasibility studies • Preparing business plans and business models • Preparing and submitting proposals • Preparing projected financial statements • Analysing financial statements and ratios • Preparing investment teasers
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Intern (Accounting)
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Apr 2017 - Aug 2017
• Recording salaries, revenues, and expenses • Calculating salaries for 40 employees • Helping with the Austria’s auction house opening and the merge of its accounting processes. • Allocating costs to their specific cost objects • Recording salaries, revenues, and expenses • Calculating salaries for 40 employees • Helping with the Austria’s auction house opening and the merge of its accounting processes. • Allocating costs to their specific cost objects
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Audit Intern
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Jul 2015 - Aug 2015
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Education
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Fachhochschule Ludwigshafen
Exchange, Accounting and Business/Management -
German Jordanian University
Bachelor's degree, International Accounting -
Al-Ittihad Schools
A-Levels