أحمد حامد أحمد الفقي, Financial Manager

أحمد حامد أحمد الفقي

Financial Manager

Alex power Technology

البلد
مصر - القاهرة
التعليم
دبلوم, - Technical and financial Analysis for companies
الخبرات
18 years, 11 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :18 years, 11 أشهر

Financial Manager في Alex power Technology
  • مصر - القاهرة
  • أشغل هذه الوظيفة منذ ديسمبر 2014

Financial Manager :
• Supervising the processing and preparing the estimative budgets.
• Using budges in efficiency evaluation of the performance effectiveness in either production or marketing fields.
• Participate in setting the funding policies and taking decisions related to the available alternatives for sources and using funds in the manner that achieves the best return.
• Analyzing Financial Statement and studying profitability rates with the desired objectives and submitting the financial reports which, reflect the financial situation and production rates.
• Using the cash estimated balances in measuring the future project's capability to create cash flows and settling its obligations.
• Supervising the financial department (revenue - expenses - customers - suppliers - banks - the financial statements) and managing the internal auditing internal audit department and submitting suggestions and policies to assure and ensuring control and integrity of data submitted to senior management.
• Supervising the management of warehouses and to set policies and appropriate inventory levels for the production and measurement of turnover rates.
• Supervising the purchase management, setting purchase and prices policies, studying the held contracts and their impact on the cost of production and profitability.
• Supervision and follow-up to ensure the availability of adequate control procedures to maintain the assets and property of the project.

- General Manager of Financial Affairs في The Wave Co. of tourism services
  • مصر - شرم الشيخ
  • يناير 2006 إلى أكتوبر 2014

• Supervising the processing and preparing the estimative budgets.
• Using budges in efficiency evaluation of the performance effectiveness in either production or marketing fields.
• Participate in setting the funding policies and taking decisions related to the available alternatives for sources and using funds in the manner that achieves the best return.
• Analyzing Financial Statement and studying profitability rates with the desired objectives and submitting the financial reports which, reflect the financial situation and production rates.
• Using the cash estimated balances in measuring the future project's capability to create cash flows and settling its obligations.
• Supervising the financial department (revenue - expenses - customers - suppliers - banks - the financial statements) and managing the internal auditing internal audit department and submitting suggestions and policies to assure and ensuring control and integrity of data submitted to senior management.
• Supervising the management of warehouses and to set policies and appropriate inventory levels for the production and measurement of turnover rates.
• Supervising the purchase management, setting purchase and prices policies, studying the held contracts and their impact on the cost of production and profitability.
• Supervision and follow-up to ensure the availability of adequate control procedures to maintain the assets and property of the project.
• To have an administrative and leadership personality to deal successfully with other departments and senior management to achieve the objectives of the project.

- - Accounts Manager في Al Manar Hotel
  • مصر - القاهرة
  • مايو 2005 إلى مايو 2006

• Supervising the financial department (revenue - expenses - customers - suppliers - banks - the financial statements)

الخلفية التعليمية

دبلوم, - Technical and financial Analysis for companies
  • في Solidaire Co. for Brokerage in financial papers
  • ديسمبر 2007

- Technical and financial Analysis for companies

دبلوم, - The balance sheet and the problems of tax examination
  • في Central Department for training on taxation-Ministry of Finance
  • مارس 2005

(Complete program).

دبلوم, - Financial planning, preparing budgets and using it in controlling costs
  • في The International Centre for Advanced Studies
  • أكتوبر 2002

Financial planning, preparing budgets and using it in controlling costs

دبلوم, - Investing in the stock market and portfolio management
  • في International for Advisory and Portfolio Management
  • مايو 1999

- Investing in the stock market and portfolio management

دبلوم, - Practical Registration in books
  • في Accountants and Auditors Training Center
  • أغسطس 1997

- Practical Registration in books

دبلوم, - Computer
  • في Maindformat Consultant - Microsoft Office
  • نوفمبر 1996

Computer and its commercial applications

بكالوريوس, Accountancy majoring
  • في Ain Shams University-Faculty of Commerce
  • يونيو 1996

Bachelor Degree in Commerce – Accountancy majoring, Faculty of Commerce – Ain Shams University, 1996.

Specialties & Skills

Internal Controls
Budget Process
Financial Risk
Cash Control
Cash Flow Management
• Supervising the financial department (revenue - expenses - customers - suppliers - banks - the fin
• Participate in setting the funding policies and taking decisions related to the available alternat
• Supervising the processing and preparing the estimative budgets
• Supervising the management of warehouses and to set policies and appropriate inventory levels for
• Using budges in efficiency evaluation of the performance effectiveness in either production or mar
• Supervising the purchase management, setting purchase and prices policies, studying the held contr
• Supervision and follow-up to ensure the availability of adequate control procedures to maintain th
• Full knowledge with computer systems and its applications
• To have an administrative and leadership personality to deal successfully with other departments a
• Analyzing Financial Statement and studying profitability rates with the desired objectives and sub
• Using the cash estimated balances in measuring the future project's capability to create cash flow
• Using the cash estimated balances in measuring the future project's capability to create cash flow

اللغات

الانجليزية
متمرّس

العضويات

نقابة التجاريين
  • عامل
  • January 1997

التدريب و الشهادات

Central Department for training on taxation-Ministry of Finance (الشهادة)
تاريخ الدورة:
January 2002
صالحة لغاية:
April 2002