Financial Controller
IPG Petroleum Services Group
Total years of experience :23 years, 10 Months
www.ipg-eg.com
The IPG group consists of the following companies:
IPG Petroleum Services Free Zone S.A.E.
Main Activity: Tubular Running Services, Rental Rigs and Rental Drilling Equipment.
Integrated Petroleum Services Co. Free Zone (INPETCO)
Main Activity: Inspection, Technical Manpower, Rental Tools and Construction.
Falcon for Investment & Oilfield Services S.A.E.
Main Activity: Rental Heavy and Light Trucks and cranes for petroleum companies.
Duties and Responsibilities:
Managing all aspects of financial control in the companies.
Producing monthly management accounts, budgets, forecasts, cash flow and cost analysis reports.
Ensure that the financial books are prepared accurately, and that all aspects of the group’s finances are properly documented and appropriate financial regulations and controls are in place and in use at all times.
Keeping abreast of changes in financial regulations and legislation and ensuring financial integrity of the group of companies.
Coordinating and leading the annual audit process with external auditors and assess any changes necessary.
Supervising the accounting team, hire, develop and maintain staff.
Ensuring that the organization fulfill its regulatory and legal obligations
Manage payroll and human resources & administration.
Ensure that recruiting processes are consistent and streamlined.
Managing administrative functions as well as facilities to ensure efficient and consistent operations as the organization scales.
www.acots.info
Duties and Responsibilities:
Managing and overseeing all the company's financial activities.
Supporting the Senior Management Team with, financial review and analysis, enhancing the financial management within the decision making process.
Ensure system records are maintained in accordance with generally accepted auditing standards.
Define standards, policies, procedures, measures, and organizational enhancements to meet company goals for finance.
Ensuring that the organization fulfill its regulatory and legal obligations
Supervision of consolidation, review and analysis of monthly financial statements of the Company.
Preparation of monthly, quarterly, and annual management reports.
Resolving all issues that affect the accounting unit during the fiscal year.
www.midco-eg.net
Duties and Responsibilities:
Creating and managing the execution of financial policies, systems, and procedures for the company.
Planning and implementing the financial reporting system and accounting procedures, and subsequently evaluating their effectiveness
Ensuring financial integrity and reliability review and strengthen internal controls and procedures.
Supporting the Senior Management Team with financial review and analysis, enhancing the financial management within the decision making process.
Providing financial leadership within both the business and finance function as a whole, including staff development and succession planning.
Ensuring that the organization fulfill its regulatory and legal obligations
Supervision of consolidation, review and analysis of monthly financial statements of the Company.
Resolving all issues that affect the accounting unit during the fiscal year
Duties and Responsibilities:
Managing the operations of all accounting functions including Accounts Payable, Accounts Receivable, Treasury, Fixed Assets, Payroll, Month end accruals and provisions.
Supervise the accounting team members and other support staff, including distributing and reviewing work accomplished.
Responsible for year-end closing and the preparation of the monthly financial statements.
Review and approve all payment transactions: reimbursements, payments on accounts, vouchers, checks, etc.
Prepare profit and loss statement report for each kind of Services.
Coordinate the accurate and timely payment of suppliers
Duties and Responsibilities:
Establish and maintain general ledgers in accordance with the Company Accounting Manual.
Perform full charge book-keeping through trial balance and profit and loss reports.
Manage and insure integrity of accounting functions in the areas of cash, accounts receivable, accounts payable, general ledger, financial reporting and all system related functions.
Reconcile the general ledger accounts and bank accounts.
Monitor petty cash accounts.
Prepare monthly, quarterly and yearly financial statements and other periodic reports of expenditure and income.
Maintain fixed asset and depreciation schedules.
Assists external auditors in their review and analyses of Company financial records by providing requested information and explaining financial procedures and practices.
Duties and Responsibilities:
Preparing asset, liability, and capital account entries by compiling and analyzing account information.
Substantiates financial transactions by auditing documents.
Preparing payments by verifying documentation, and requesting disbursements.
Responsible for auditing companies’ General Entry and registration, tax procedures and balance sheet.
B.SC. Accounting, Cairo university, Giza, Egypt (June, 2000) Good (75%)