Total Years of Experience: 13 Years, 8 Months
April 2013
To Present
Cost Accountant
at AL Mottahida Food Stuff Processing
Location :
Egypt - Alexandria
• Control Standard cost for all finished goods
• analyzing the monthly variances and seeking ideas for solving it.
• Manage inventory physical count to ensure internal controls are functioning as designed.
• Prepare the annual cost budget covering materials, packaging, labor, fixed and variable overhead.
• Distributes monthly comparison reports and cost center reports.
• Making estimates of new and proposed product costs.
• analyzing the monthly variances and seeking ideas for solving it.
• Manage inventory physical count to ensure internal controls are functioning as designed.
• Prepare the annual cost budget covering materials, packaging, labor, fixed and variable overhead.
• Distributes monthly comparison reports and cost center reports.
• Making estimates of new and proposed product costs.
June 2012
To March 2013
Cost Accountant
at Masar Engineering Industries.
Location :
Egypt - Alexandria
• Pricing Job orders products according to customer specifications
• Investigate work orders closed with high variances.
• Work with Manufacturing Engineering in order to show additions or corrections in the cost of producing a part.
• Distributes monthly comparison reports and cost center reports.
• Calculate labor, Overhead, and Bill of Material costs.
• Prepare Cost reduction studies
• Investigate work orders closed with high variances.
• Work with Manufacturing Engineering in order to show additions or corrections in the cost of producing a part.
• Distributes monthly comparison reports and cost center reports.
• Calculate labor, Overhead, and Bill of Material costs.
• Prepare Cost reduction studies
June 2010
To June 2012
General Accountant
at Aluminum Al.Ahram
Location :
Egypt - Alexandria
• Administer accounts receivable and accounts payable.
• Handling bank transactions and prepare bank reconciliation statement.
• Monthly closings and preparation of monthly financial statement.
• Draw up monthly financial reports.
• Prepare analysis of accounts as requested.
• Assist with preparation and coordination of the audit process
• Handling bank transactions and prepare bank reconciliation statement.
• Monthly closings and preparation of monthly financial statement.
• Draw up monthly financial reports.
• Prepare analysis of accounts as requested.
• Assist with preparation and coordination of the audit process
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