Summary
Overview
Work history
Education
Skills
Websites
LANGUAGES
Timeline
Generic

Lina El-Behish

Abu Dhabi,United Arab Emirates

Summary

Organized and results-focused professional transitioning from accounting to administration and management. Skilled in coordination, process control, multitasking, and structured reporting. Recognized for reliability, efficiency, and strong communication. Passionate about supporting leadership and improving operational performance.

Overview

9
9
years of professional experience

Work history

Accountant

Petro Marine Services LLC (AES)
Abu Dhabi
09.2025 - Current
  • Managed financial books and regional records across the Middle East (UAE, Qatar, KSA).
  • Reviewed and reconciled general ledgers to ensure accuracy and data integrity.
  • Conducted complex account reconciliations and resolved discrepancies promptly.
  • Led tax compliance activities to maintain full regulatory alignment across jurisdictions.
  • Controlled financial documentation and maintained well-structured filing systems.
  • Acted as a key liaison between finance, operations, and management teams.
  • Prepared financial summaries and performance dashboards for management reporting.
  • Streamlined internal financial and administrative processes to enhance efficiency and accuracy


Accountant

International Vision Investment
Abu Dhabi, United Arab Emirates
10.2021 - 08.2025
  • Handled day-to-day accounting processes to drive financial accuracy.
  • Documented cash, credit, fixed assets, accrued expenses, and line of credit transactions.
  • Gathered financial information, prepared documents, and closed books.
  • Reconciled accounts and reviewed expense data, net worth, and assets.
  • Managed cash flow effectively, ensuring all company liabilities were met in a timely manner and surplus funds were invested wisely.
  • Facilitated smoother audit processes by maintaining organized and comprehensive financial documentation.
  • Collected and reported monthly expense variances and explanations.
  • Maintained integrity of general ledger and chart of accounts.
  • Maintained general ledger accuracy through regular account reconciliations, journal entry adjustments, and transaction reviews.
  • Simplified invoicing process, reducing errors and improving turnaround time for accounts receivable.
  • Enhanced financial reporting accuracy by meticulously reconciling bank statements with ledger entries.

Accountant

ReserveOut
Amman
06.2019 - 05.2021
  • Reconciles general and subsidiary bank accounts by gathering and balancing information.
  • Maintaining the billing system.
  • Prepare, verify, and process invoices for sales or services rendered.
  • Collect on accounts by sending invoice reminders and communication with customers via phone or e-mail.
  • Post customer payments by recording cash, checks, and credit card transactions and entering them into the general ledger or accounting software.
  • Reconcile the accounts receivable ledger to ensure that all payments are accounted for and properly posted.
  • Analyze and reconcile bank statements and general ledgers.

Accountant

Sigma Investments LTD
Amman
12.2018 - 05.2019
  • Posting and processing journal entries to ensure all business transactions are recorded.
  • Updating accounts receivable and issue invoices.
  • Updating accounts payable and perform reconciliations.
  • Analyze and reconcile bank statements and general ledgers.
  • Act as a liaison for vendors to reconcile any billing discrepancies.

Teller

Bank Audi
Amman
10.2016 - 12.2018
  • Maintained cash drawer accuracy by conducting regular audits and implementing effective cash handling practices.
  • Managed high-volume transactions efficiently while maintaining attention to detail, ensuring accurate processing for customers.
  • Balanced cash drawer daily and resolved discrepancies to provide accurate data regarding cash flow.
  • Assisted customers with account inquiries, resolving issues promptly and professionally.
  • Streamlined teller operations by maintaining organized workspaces and adhering to policies and procedures.
  • Handled complex transactions such as wire transfers or foreign currency exchanges with accuracy and efficiency.
  • Collaborated effectively with other departments as needed to resolve outstanding issues or complete complex tasks for customers.

Education

Certificate - International Financial Reporting

BBA - Accounting

University Of Petra
Amman, Jordan

Skills

  • Process Coordination
  • Reporting & Documentation Control
  • Administrative Organization
  • Time & Task Management
  • Compliance & Internal Controls
  • Cross-Department Communication
  • Data Accuracy & Review
  • Operational Support
  • Financial Reporting
  • Bank Reconciliation
  • Tax Preparation
  • Accounts Payable & Receivable
  • Account Reconciliation
  • Revenue Recognition
  • Year-End Close

LANGUAGES

Arabic
Native
English
Proficient (C2)

Timeline

Accountant

Petro Marine Services LLC (AES)
09.2025 - Current

Accountant

International Vision Investment
10.2021 - 08.2025

Accountant

ReserveOut
06.2019 - 05.2021

Accountant

Sigma Investments LTD
12.2018 - 05.2019

Teller

Bank Audi
10.2016 - 12.2018

BBA - Accounting

University Of Petra

Certificate - International Financial Reporting

Lina El-Behish