Hany Sabry, Finance Manager

Hany Sabry

Finance Manager

GMC for Engineering & Feeding Industries (S.A.E)

Lieu
Arabie Saoudite - Jeddah
Éducation
Baccalauréat, Accounting And Administration
Expérience
22 years, 0 Mois

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Expériences professionnelles

Total des années d'expérience :22 years, 0 Mois

Finance Manager à GMC for Engineering & Feeding Industries (S.A.E)
  • Egypte - Le Caire
  • mai 2020 à février 2023

•Lead teams in accounting, collections, treasury, and taxes.
•Review and approve financial transactions, internal control procedures, and financial reporting activities.
•Manage fiscal reporting activities, including financial position, income statement, and cash flow reports.
•Manage the entire spectrum of monthly management accounts (GL, AP, AR, loans, etc.) and financial reports, conducting thorough analytical reviews.
•Oversee the production of monthly reports for the Board.
•Assist in achieving or exceeding profit and loss (P/L) targets within the company.
•Identify financial and operational risks and develop strategies to mitigate them.
•Contribute to the preparation of cost statements and supervise them to manage costs and eliminate any redundant items.
•Negotiating with creditors and restructuring the company's debts to improve operating cycle ratios.
•Provide financial reports and interpret financial information to managerial staff while recommending further courses of action.
•Perform a variety of advanced financial analyses to determine the present and forecasted financial health of the company.
•Provide analytical support to the senior management and line managers.
•Contribute to the preparation of annual budgets and operational plans.
•Anticipate and follow up cash flow, managing income, expenses, budgeting, and costing.
•Anticipate and proactively address the impact on business targets, suggesting solutions and making adjustments to forecasts.
•Collaborate with Executive Directors to align financial strategies with the company's objectives.
•Proactively identify financial and operational risks and develop strategies to mitigate them.
•Develop financing solutions to support business growth plans, including fostering relationships in the banking and investment sectors.
•Ensure compliance with national and local regulations by surveying existing & proposed legislation.
•Coordinate the annual audit process, finalize agreements, and approve financial statements and tax reconciliations.

Financial Manager à Top Maker for Engineering Industries
  • Egypte - Le Caire
  • mars 2019 à avril 2020

•Lead teams in accounting, collections, treasury, and taxes.
•Review and approve financial transactions, internal control procedures, and financial reporting activities.
•Manage fiscal reporting activities, including financial position, income statement and cash flow reports.
•Manage the entire spectrum of monthly management accounts (GL, AP, AR, loans, etc.) and financial reports, conducting thorough analytical reviews.
•Oversee the production of monthly reports for the Board.
•Identify financial and operational risks and develop strategies to mitigate them.
•Negotiating with creditors and restructuring the company's debts to improve operating cycle ratios.
•Provide financial reports and interpret financial information to managerial staff while recommending further courses of action.
•Perform a variety of advanced financial analysis to determine the present and forecasted financial health of the company.
•Provide analytical support to the senior management and line managers.
•Develop financing solutions to support business growth plans, including fostering relationships in the banking and investment sectors.

Financial Manager à Little Bird for Garments
  • Egypte - Banha
  • juillet 2017 à janvier 2019

•Lead teams in accounting, collections, treasury, and taxes.
•Provide appropriate training and development opportunities to finance and accounting staff to enhance their financial management understanding.
•Review and approve financial transactions, internal control procedures, and financial reporting activities.
•Manage fiscal reporting activities, including financial position, income statement and cash flows reports.
•Manage the entire spectrum of monthly management accounts (GL, AP, AR, loans, etc.) and financial reports, conducting thorough analytical reviews.
•Oversee the production of monthly reports for the Board.
•Assist in achieving or exceeding profit and loss (P/L) targets within the company.
•Identify financial and operational risks and develop strategies to mitigate them.
•Contribute to the preparation of cost statements and supervise them to manage costs and eliminate any redundant items.
•Provide financial reports and interpret financial information to managerial staff while recommending further courses of action.
•Perform a variety of advanced financial analysis to determine the present and forecasted financial health of the company.
•Provide analytical support to the senior management and line managers.
•Contribute to the preparation of annual budgets and operational plans.
•Anticipate and follow up cash flow, managing income, expenses, budgeting, and costing.
•Anticipate and proactively address the impact on business targets, suggesting solutions and making adjustments to forecasts.
•Collaborate with Executive Directors to align financial strategies with the company's objectives.
•Proactively identify financial and operational risks and develop strategies to mitigate them.
•Develop financing solutions to support business growth plans, including fostering relationships in the banking and investment sectors.
•Ensure compliance with national and local regulations by surveying existing & proposed legislation.

Accounting Manager à Little Bird for Garments
  • Egypte - Banha
  • décembre 2015 à juin 2017

•Lead teams in accounting, collections, treasury, and taxes.
•Provide appropriate training and development opportunities to finance and accounting staff to enhance their financial management understanding.
•Review and approve financial transactions, internal control procedures, and financial reporting activities.
•Manage fiscal reporting activities, including financial position, income statement and cash flows reports.
•Manage the entire spectrum of monthly management accounts (GL, AP, AR, loans, etc.) and financial reports, conducting thorough analytical reviews.
•Oversee the production of monthly reports for the Board.
•Assist in achieving or exceeding profit and loss (P/L) targets within the company.
•Identify financial and operational risks and develop strategies to mitigate them.
•Ensure compliance with national and local regulations by surveying existing & proposed legislation.
•Coordinate the annual audit process, finalize agreements, and approve financial statements and tax reconciliations.

internal audit assistant manager à Rajhi Steel
  • Arabie Saoudite - Jeddah
  • juillet 2008 à août 2015

• Preparing the annual risk assessment plan and leading its implementation with the review team, supervising workers, and evaluating the results.
• Contribute to developing an annual audit plan based on risk assessment with the audit committee.
• Led the full audit cycle by checking tax compliance, verifying financial records, and inspecting accounts.
• Analyzing the results of the audit and presenting possible solutions for ineffective financial practices to management.
•Evaluating company accounting procedures, payroll, inventory, and tax statements to guide financial policymaking.
•Conducting risk assessments to recommend aversion measures and cost savings.
•Following up with management to ensure remediations are implemented into the company's financial practices.
•Supervising junior auditing personnel and implementing their research work into the auditing process.
•Preparing and reviewing annual audit memorandums.
•Researching applicable laws and regulations to ensure the company's books are compliant.
•Providing leadership and guidance.

Internal Audit Supervisor à Mo’men Group
  • Egypte - Le Caire
  • novembre 2006 à décembre 2007

•Leading the full audit cycle by checking tax compliance, verifying financial records, and inspecting accounts.
•Analyzing the results of the audit and presenting possible solutions for ineffective financial practices to management.
•Evaluating company accounting procedures, payroll, inventory, and tax statements to guide financial policymaking.
•Conducting risk assessments to recommend aversion measures and cost savings.
•Following up with management to ensure remediation's are implemented into the company's financial practices.
•Supervising junior auditing personnel and implementing their research work into the auditing process.
•Preparing and reviewing annual audit memorandums.
•Researching applicable laws and regulations to ensure the company's books are compliant.
•Providing leadership and guidance.

Internal Audit Supervisor à Mo’men Group
  • Egypte - Le Caire
  • juin 2006 à décembre 2007

•Spearheaded company’s reporting and finance tracking measures to remove obsolescence, speeding up the year- and quarter-end audits by up to 5 weeks.

Senior Public Accountant à B.D.O Khaled & Zarrouk (formerly)
  • Egypte - Le Caire
  • novembre 2005 à juin 2006

•Identified and communicated accounting, finance, and auditing issues to executives, seniors, and finance managers.
•Organized and maintained financial records, tax preparation, and periodic inspection of accounting books and practices.
•Performed analytical procedures and analyses to detect unusual financial relationships.
•Carried out detailed financial audits, federal and state compliance audits, and agreed-upon procedures.
•Initiated management representation letter recommendations and drafted audit reports for management and executive reviews.

Senior Public Accountant à Mostafa Shawki &co (Mazars)
  • Egypte - Le Caire
  • mai 2000 à octobre 2005

•Identified and communicated accounting, finance, and auditing issues to executives, seniors, and finance managers.
•Organized and maintained financial records, tax preparation, and periodic inspection of accounting books and practices.
•Performed analytical procedures and analyses to detect unusual financial relationships.
•Carried out detailed financial audits, federal and state compliance audits, and agreed-upon procedures.
•Initiated management representation letter recommendations and drafted audit reports for management and executive reviews.

Éducation

Baccalauréat, Accounting And Administration
  • à Benha University
  • mai 2000

Specialties & Skills

Cost Models
Cash Flow
Analytics
Risk Modelling
SWOT analysis
Financial Modelling
Financial Analysis and Reporting
Internal Control Management (Policies & Procedures).
Regulatory Compliance
Risk Management & Mitigation
Strategic Business Planning
Financial Management
Cost Controls Management
Debt Restructure
Strong technical accounting knowledge
Cash Flow Projection

Langues

Anglais
Expert

Formation et Diplômes

Technical Analyses (Formation)
Institut de formation:
Privet
Date de la formation:
May 2008
IFRS Training (Formation)
Institut de formation:
KPMG
Date de la formation:
February 2014
Durée:
40 heures

Loisirs

  • Reading History, Logic, Philosophy, Chess, Swimming