At Sicor Batiment, a French construction (BTP) group, I manage full-cycle accounting, monthly VAT declarations, invoicing, bank reconciliations, and annual financial reporting under French accounting standards.
I use Pennylane, OBAT, and Excel to keep audit-ready books, analyze financial data for management, and proactively flag trends and anomalies. I also improve invoicing and reconciliation workflows and resolve supplier account disputes through corrective documentation.
Previously, I supported bookkeeping, closing, reconciliations, invoicing, payables, receivables, and account maintenance at Switch Telecom, following an internship in teller and customer service operations at Bank of Beirut.
