Mohamed Ibrahim Hussein Metwaly, Accounting Manager

Mohamed Ibrahim Hussein Metwaly

Accounting Manager

Horizon For Medical Appliances - Shatat Group

Lieu
Egypte
Éducation
Baccalauréat, Accounting
Expérience
23 years, 2 Mois

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Expériences professionnelles

Total des années d'expérience :23 years, 2 Mois

Accounting Manager à Horizon For Medical Appliances - Shatat Group
  • Egypte - Le Caire
  • Je travaille ici depuis janvier 2014

• Supervise The Accounting Team Members And Other Support Staff, Including Distributing And Reviewing Work Accomplished.
• Manage The Training, Development And Performance Reviews of The Accounting Team Members.
• Oversee The Operations Of All Accounting Functions Including Accounts Payable, Accounts Receivable, Treasury, Fixed Assets, Payroll, Month End Accruals And Provisions.
• Review And Approve All Payment Transactions: Reimbursements, Payments On Accounts, Vouchers, Checks, Etc.
• Review & Approve Payment Vouchers & Journal Entries
• Cash Management (Including Placement / Movement of Funds in Various Trusts).
• Work Consultative With The Respective Departments On Cost Reduction Initiatives
• Perform Cash Flow Forecasting, Budgeting And Working Closely With The Operations And Project
• Assist In The Preparation Of Yearly Budgets
• Participate In The Development Of Policies And Procedures
• Resolves Complex Accounting Issues Or Assists Other Authority Personnel in Resolving Financial Issues.
• Review Balance Sheet Account Reconciliations
• Responsible For Year-End Closing and the Preparation of the Monthly Financial Statements.
• Prepare Monthly, Quarterly And Year End Management Financial Reports

Accounting Manager à Elsewedy Cables
  • Egypte - Le Caire
  • août 2008 à août 2013

• Supervise The Accounting Team Members And Other Support Staff, Including Distributing And Reviewing Work Accomplished.
• Manage The Training, Development And Performance Reviews of The Accounting Team Members.
• Oversee The Operations Of All Accounting Functions Including Accounts Payable, Accounts Receivable, Treasury, Fixed Assets, Payroll, Month End Accruals And Provisions.
• Review And Approve All Payment Transactions: Reimbursements, Payments On Accounts, Vouchers, Checks, Etc.
• Review & Approve Payment Vouchers & Journal Entries
• Cash Management (Including Placement / Movement of Funds in Various Trusts).
• Work Consultative With The Respective Departments On Cost Reduction Initiatives
• Perform Cash Flow Forecasting, Budgeting And Working Closely With The Operations And Project
• Assist In The Preparation Of Yearly Budgets
• Participate In The Development Of Policies And Procedures
• Resolves Complex Accounting Issues Or Assists Other Authority Personnel in Resolving Financial Issues.
• Review Balance Sheet Account Reconciliations
• Responsible For Year-End Closing and the Preparation of the Monthly Financial Statements.
• Prepare Monthly, Quarterly And Year End Management Financial Reports

Section Head à Egyptian Co. For Modern Restaurant Management (Wessays, Sbarro, Cantina Laredo)
  • Egypte - Le Caire
  • août 2003 à juillet 2008

•Managing All Accounts Payable & Communicating with Local and Foreign Suppliers Issuing Checks To Suppliers Regarding Invoices Aging, and Payable Reports.
•Financial Stock Controller (Raw Material, Spare Parts & F.G).
•Handling Fixed Assets, It’s Entries, Calculating Depreciation and Controlling Reports for Each Asset.
•Handling Payroll of Company (Monthly Auditing & Entries).
•Preparing and Monitoring All Banks Transactions and All Related Reports.
•Preparing L.C.’s and Communicating with the Banks and the Foreign.
•Handling All Sales Transaction, Sales Reports and Collections Follow Up.
•Handling Subcontractors (Entries, Follow Up And Payments Follow Up).
•Preparing and Handling Cash Management and All Related Reports.
•Preparing Financial Reports (Monthly & Year End Income Statement, Balance Sheet, Budget and Various Analysis Reports).

Banker, Dealer à Mohandas Bank H.O., Dealing Room – Foreign Department
  • Egypte - Le Caire
  • novembre 2000 à juillet 2003

•Treasure.
•Correspondent Relationship.
•Correspondent Credit Analysis.
•Back office Measures (Transaction & Confirmation).
•Good knowledge of Dealing with Correspondents Settlements.
•Assistant in Authorized Signature Booklet Issuing.
•Dealing As Swift Administrator.
•Arranging Swift Bilateral Key Exchange (BKE).
•Dealing With All Types of Swift Messages and Formulas.
•Handling Transactions and Investigations on It.
•Preparing Promissory Notes Issuing and It’s Follow Up.
•Full Assistant for LC, LG, Bills and Cheques Collection.
•Letter of Guarantee, Letter of Credit, Customer Service, Marketing

Éducation

Baccalauréat, Accounting
  • à Guadalajara College of Public Accountants
  • mai 1999

Specialties & Skills

Preparation
Management
Month End
Fixed Assets
Keen troubleshooting and problem solving skills., Negotiation skills capability.
Highly organized, able to multi-task and priorities work-flow to meet deadlines.
Team leader oriented., Allows eager to learn new things.
Excellent attention to details., Flexible in timing and able to work under pressure
Good command of interpersonal, communication & presentation skills.

Langues

Arabe
Expert
Anglais
Expert

Loisirs

  • Sports, Reading, Computer, Traveling.