Khalid Farah
About Khalid Farah
Khalid Farah is an Accounting Trainee at Verint in Weybridge, England, with a strong educational background in Accounting and Finance. He has accumulated experience in bank reconciliations, intercompany balances, and accounts receivable reconciliations since starting his career in 2018.
Work at Verint
Khalid Farah has been employed at Verint as an Accounting Trainee since 2020. In this role, he is based in Weybridge, England, and has accumulated four years of experience. His responsibilities include performing bank reconciliations for multiple subsidiaries, banks, and currencies. He also assists in settling and investigating intercompany balances, utilizing Excel and Oracle ERP for these tasks. Additionally, he conducts foreign exchange gain and loss calculations and performs accounts receivable reconciliations.
Education and Expertise
Khalid Farah has a solid educational background in accounting and finance. He achieved the ACCA Advanced Diploma in Accounting and Business from 2020 to 2021 after studying at ACCA for one year. Prior to that, he studied at Richmond upon Thames College, where he earned an AAT Level 3 Accounting qualification in 2017. He also completed the ACCA Diploma in Accounting and Business (RQF Level 4) from Avado between 2018 and 2019. His foundational education includes GCSEs and A-Levels, which he completed at Sunbury Manor School and Richmond upon Thames College, respectively.
Previous Experience
Before his current role as Accounting Trainee, Khalid Farah worked at Verint as an Accounts Payable Assistant from 2018 to 2020. This two-year position provided him with valuable experience in the accounting field, further developing his skills in financial processes and systems. His transition from Accounts Payable Assistant to Accounting Trainee reflects his growth and commitment to advancing his career in accounting.
Technical Skills
Khalid Farah possesses technical skills in accounting software and tools. He is proficient in using Excel and Oracle ERP for various accounting tasks, including creating and uploading accounting journals. His experience includes performing bank reconciliations, managing intercompany balances, and conducting foreign exchange calculations. These skills enhance his effectiveness in his current role and contribute to his overall expertise in the accounting domain.