Submitting more applications increases your chances of landing a job.

Here’s how busy the average job seeker was last month:

Opportunities viewed

Applications submitted

Keep exploring and applying to maximize your chances!

Looking for employers with a proven track record of hiring women?

Click here to explore opportunities now!
We Value Your Feedback

You are invited to participate in a survey designed to help researchers understand how best to match workers to the types of jobs they are searching for

Would You Be Likely to Participate?

If selected, we will contact you via email with further instructions and details about your participation.

You will receive a $7 payout for answering the survey.


User unblocked successfully
Ahmed Ashraf - BCC, Group Corporate Treasury Analyst - Deputy Manager

Ahmed Ashraf - BCC

Group Corporate Treasury Analyst - Deputy Manager·EL Sewedy Electric Group

Egypt

Bachelor's degree, Accounting

Work experience

Total years of experience: 15 years, 8 months

Group Corporate Treasury Analyst - Deputy Manager

September 2016 - Present

EL Sewedy Electric Group

Cairo, Egypt

September 2016 - Present

Company industry:
Heavy Industry & Metallurgy
Job role:
Banking

Corporate Treasurer & Financial Planning Analyst Supervisor

December 2015 - September 2016

Abo Soma Development Company ASDC Somabay

Cairo, Egypt

December 2015 - September 2016

* Position Responsibilities Scope::

* Budget Controls
* Planning System
* Cash Management Head
* Corporate Treasury Section Head

Company industry:
Economics & Financial Consulting
Job role:
Accounting and Auditing

Head Of Finance, Corporate Treasury

August 2015 - December 2015

Saudi Bilanden Group

Jeddah, Saudi Arabia

August 2015 - December 2015

Responsibilities at S.B.G from May 2015 till Present as Head of Finance :
• Responsible for Appling with revising all accounting cycle (AP, AR, GL, FA, Cash Management, Costing & Budget) .
• Financial budgeting and reporting with costing for assets by one billion SAR.
• Accurate financing and cash flow mentoring the measurements for adequate finance.
• Preparing all row financials and reported to Senior Management …,
• Key Reports Prepared In Monthly Finance Memo With Budget Variables Adjustments
• Capital Budget, Cash Budget, Operating Budget, Sources & Uses Statement Matching for the Capital, Management Cash Flow, Projections & Financials (FCF), Gap Analysis, What If Analysis for Budget, Opportunity Cost Reports, Weekly Treasury Action Plan & Position, Monthly I/S Direct Method & Multi-Functional Approach, Cash Disbursement, Some reports runner based on Time Serious Analysis or Cross sectional based on Purpose of the Report, Balance Sheet Manual Preparation, Variance Analysis, Financial Fact Analysis Chart Sheet …
• Control all facilities and maintain liaising with Three Banks with follow up Reports from Accounting Department such as Time Loan Reports & Payable, Receivables Aging to Manage my Own Cash Management Function with Operate my Cash Flow
• All responsibilities below are still in my scope of duties for all treasury functions
• Sharing Top Management for Capital Direction and Investment Channel based on Cash Flow & Expansions plan integrated with Banks Functions such as TD, FWD& So on ….

Company industry:
Construction & Building
Job role:
Accounting and Auditing

Financial Analyst - Corporate Treasury

May 2014 - July 2015

Saudi Binladen Group ( SBG )

Jeddah, Saudi Arabia

May 2014 - July 2015

Treasury Section Head - Head Office
at Mohamed Binladen Co,
From May 2014 - Present Time

Company industry:
Construction & Building
Job role:
Finance and Investment

Senior Treasury Specialist & Analyst

August 2012 - May 2013

Qatar National Import and Export

Doha, Qatar

August 2012 - May 2013

1. Monitoring of cash flow movements and expected cash requirements.
2. Prepare treasury cash report & developing of appropriate and reliable treasury accounting processes
3. Help in executing financial statement Monthly
4. Determine daily cash position and requirements (invest excess cash, determine borrowing needs)
5. Manage company cash pool and liquidity needs (funding needs or investments with Lined Finance).
6. Create cash forecasts (Annual, quarterly, monthly). Perform variance analysis on actual versus forecasted cash flows.
7. Ensure that sufficient funds are available to meet on going operational and capital investment requirements
Ahmed Ashraf Page 2
8. Arrange for equity and debt financing
9. Advise management on the liquidity aspects of its short and long-range planning
10. Maintain Banking relationships
11. Preparing management reports (Dashboard) and forecasting (local and company liquidity forecasts)
12. Liaise with other finance departments (A.R, A/P, controlling) on initiatives to improve working capital, harmonize and automate processes
13. Manage Line of credit programs and other financial assurance requirements
14. Other tasks from below senior specialist level.

Company industry:
FMCG
Job role:
Accounting and Auditing

Senior Treasury Specialist

January 2012 - August 2012

Qatar National Import and Export

Doha, Qatar

January 2012 - August 2012

2- Working as Senior Treasury Specialist & Analyst at Qatar National Import and Export
(Q.N.I.E) at Doha (January 2012 till July 2012)

Q.N.I.E Recognitions:
Qatar National Import and Export Co. (QNIE) is one of the largest FMCG distribution companies in the State of
Qatar. Renowned for its brand names, QNIE is committed in its vision to be a pioneer in the world of import and exports. We are a well-established leader in providing all our customers with quality service with unique value to our
suppliers, consumers and customers. QNIE Foods has every meal for every part of the day! We have breakfast,
lunch, afternoon snack, dinner and your favorite midnight snack! Whatever your sweet tooth desires we are here to serve! Just name the food! Our stock of national brand recognition food products brings our customers the quality
they expect and demand from QNIE. (Turnover of the Company Credit around 1.3 milliard QR)
Responsibilities at Q.N.I.E on Sr.Supervisor level
1. Monitoring of cash flow movements and expected cash requirements.
2. Prepare treasury cash report & developing of appropriate and reliable treasury accounting processes
3. Help in executing financial statement Monthly
4. Determine daily cash position and requirements (invest excess cash, determine borrowing needs)
5. Manage company cash pool and liquidity needs (funding needs or investments with Lined Finance)
6. Create cash forecasts (Annual, quarterly, monthly) . Perform variance analysis on actual versus
forecasted cash flows.
7. Ensure that sufficient funds are available to meet on going operational and capital investment
requirements




8. Arrange for equity and debt financing
9. Advise management on the liquidity aspects of its short and long-range planning
10. Maintain Banking relationships
11. Preparing management reports (Dashboard) and forecasting (local and company liquidity forecasts)
12. Liaise with other finance departments (A.R, A/P, controlling) on initiatives to improve working
capital, harmonize and automate processes
13. Manage Line of credit programs and other financial assurance requirements
14. Other tasks from below senior level.

Responsibilities at Q.N.I.E on Senior level
1. Making Analysis about Cash Flow, Balance Sheet & Income Statement by ratios on Monthly Basis.
2. Making comparison between Estimated Cash Flow By actual to handle company items variance by Direct
& In Direct Methods
3. Reporting Cost Of Finance comparing with Usage of refinance lines at banks
4. Revising banks interests as cost of the refinance comparing with pricing of every bank
5. Renewal facilities with making memo of bank facility & memo of banks markets pricing for all facilities
6. Follow up Global Rates for Borrowing that effect on banks pricing & help treasury to adjust it's Future
strategy plans ( Treasury actions Plans)

7. Dealing with ten banks operation on Islamic System
8. Managing cash in to meet cash out by banks maturities time loans and others
9. Opening letters of credit and letters of guarantee's by organized cycle according to UCP 600 latest version with incoterms by full roles of ICC (International Chamber of Commerce)
10. Working on SAP Accounting system to handle all of bank transaction entries till display reports applied with banks certificates
11. Controlling online banking for more than three banks
12. Making monthly reconciliation.& Monthly Clearing on SAP
13. Treasury Position Reporting on weekly basis & Cash Position Report on Daily basis

3-Has worked as Senior Treasury Specialist & Analyst
Arafa Holding Group Egypt

Company industry:
FMCG
Job role:
Accounting and Auditing

Sr.Treasury Accountant & Specialist

December 2009 - January 2012

Arafa Holding Group Egypt

Cairo, Egypt

December 2009 - January 2012

(January 2011 - January 2012)
4-Has worked as Treasury Accountant & Specialist
Arafa Holding Group Egypt

Revising Facilities of the Company with More than Ten International & National Banks.
2- Cost OF Finance Reporting.
3- Treasury Position Reporting.
4- Financial Cash flow Reporting.
5- F.X Deals and Assess manage and mitigate foreign currency exposure. Use hedging to mitigate financial risks mainly related to foreign exchange positions/requirements.
6- Responsible for SWAP contracts and FWD forward deals follow up and it’s analysis reports.
7- Following and Revising Documentary of Credit (L/Cs).
8- Following and Revising Documentary of Guarantees (L/Gs).
9- Arrange and Making Banking Reconciliation on Accounting System.
Ahmed Ashraf Page 3
10- Decision Maker around Time Loans and Time Deposits.
11- Revise With External Audit The all Parts Belong in banks at the Balance Sheet & Income statement As :
(Accounts Balances, Hedging Scenarios & its Effect on accounts, formation Loans & Deposits).
12- Follow the retails issues as (opening current accounts & corporate credit card …….).
13- Got Experience through Handling in Every Modules for two Professional Accounting System as
(Bank, Account Receivables, .Account Payable & General Ledger Modules).

Al-Arafa Group Recognitions: Arafa Holding is a multinational organization offering the highest quality apparel that exceeds the expectations of its customers - the owners of the world's leading brands. (Turnover of the Company Credit around 140
Million USD)

Company industry:
Textile & Apparel Production
Job role:
Accounting and Auditing

Education

Cairo university

July 2009

July 2009

Bachelor's degree, Accounting

Egypt

GPA (percentage): 72%

GPA (percentage): 72%

All courses is mentioned at below training and extra educational section , thanks Achievement's: at my x works  At Q.N.I.E made as online system for following transaction by Islamic Finance advance professional technique to can release any report for treasury features any time to be able to make decision.  Making special advanced sessions for all finance and other commercial employees as training to improve the trade finance cycle at our company, global treasury features & corporate finance with banks roles to improve the O.C.P (operation cycle processing) of the company.  Responsible for lines of credit facilities for three Varity Activity Operation companies in QNIE Group in Construction facilities by 250 Million QR – FMCG by 800 Million QR.  Responsible for association the Holding Facilities & all groups. Training & Language and Managements Courses: 1. Studied English courses (general and advanced) at American university in Cairo 2. Icdl preparation at AUC and certified from Enesco 3. Studied under graduate diploma from AUC The Certificate Contains Of Seven Subject (Accounting principles , Business economics , Financial reporting , Banking operation , Computerized accounting ( dac easy accounting program) ,Financial management and control & Management accounting ) 4. Starting the CMA Program, part one at AUC on 12/10/2009 (Business economics, global business, internal controls, quantitative methods and financial statement analysis). 5. Attended courses supported from international banks around Globel Banking Trade finance & Treasury Scenarios Features at BNP Paribas, Citi Group, CIB). Skills: 1- Computer knowledge:  Compact professional accounting applications  Axapta professional accounting applications  S.A.P ERP System " 1st accounting system in the world " Ahmed Ashraf Page 4  DAC Easy professional accounting program V.9  Microsoft Office: good

Cairo University

July 2009

July 2009

Bachelor's degree, Accounting

Egypt

GPA (percentage): 72%

GPA (percentage): 72%

Cairo University May 2009 - Grade: Good

Skills

FX Hedging
Expert
FX Hedging
Expert
Hedging
Expert
Hedging
Expert
Analyst Relations
Expert
Analyst Relations
Expert
ACCOUNTING
Expert
ACCOUNTING
Expert
ASCP
Intermediate
ASCP
Intermediate
BALANCE SHEET
Intermediate
BALANCE SHEET
Intermediate
BANKING
Expert
BANKING
Expert
CASH
Intermediate
CASH
Intermediate
CREDIT
Expert
CREDIT
Expert
FINANCE
Intermediate
FINANCE
Intermediate
HEDGING
Intermediate
HEDGING
Intermediate
ITS
Intermediate
ITS
Intermediate
RECONCILIATION
Expert
RECONCILIATION
Expert
1- Computer knowledge:  Compact professional accounting applications  Axapta professional accoun
Intermediate
1- Computer knowledge:  Compact professional accounting applications  Axapta professional accoun
Intermediate
Analysis
Intermediate
Analysis
Intermediate
FX Hedging
Expert
FX Hedging
Expert
Hedging
Expert
Hedging
Expert
Analyst Relations
Expert
Analyst Relations
Expert

Languages

Arabic

Intermediate

English

Expert

Training and Certifications

Certifications
Unesco ICDL
American university in Cairo
Jun 2008 - Aug 2008
General & Advanced
American university in Cairo
Jun 2007 - Apr 2009
Professional Diploma in Accounting &Finance
American university in Cairo
Jan 2008 - Apr 2009
Credit course
American university in Cairo
May 2013 - Nov 2013
CMA Program, part one at AUC attatentace
American University In Cairo
Oct 2009 - Jan 2010

Recommendations

khaled mostafa

Feb 2013

Feb 2013

Account payable SupervisorColleague

Ahmed is a sincere, honest, hardworking, dedicated employee with a professional attitude and very good job knowledge. I give him my highest recommendation

Hisham Elshater

Jan 2013

Jan 2013

section head bank accounts & treasury QNIEColleague

Ahmed ashraf on of the best colleagues i have worked with them he is talent in treasury career , hard worker, treated with stress as normal and very professional in his career Ahmed is very smart and he have a very good experience and knowledge about all the banksand treasury area My Brief recommendation for ahmed ashraf that any company will win one like him to become one of the company team

Hobbies and interests

English Movies & Tourism + Singing