Total Years of Experience: 27 Years, 0 Months
January 2010
To Present
Chief Financial Officer
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at EGYPT TEDA INVESTMENT COMPANY
Location :
Egypt
Preparation of monthly & yearly Financial analysis and statistical reports
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors work under progress of the projects.
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers and international supplier,
including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Oversees accounts receivable for local client and international client,
including client balance and the collection.
Preparation bank reconciliations of weekly and monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing.
Reviews work of the assigned accounting team and work with the information
systems team to develop and enhance financial reporting.
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Prepare the financial reports (Trial balance, income statement, balance sheets, Cash Flow Statement, Cost accounting reports and other reports).
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors work under progress of the projects.
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers and international supplier,
including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Oversees accounts receivable for local client and international client,
including client balance and the collection.
Preparation bank reconciliations of weekly and monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing.
Reviews work of the assigned accounting team and work with the information
systems team to develop and enhance financial reporting.
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Prepare the financial reports (Trial balance, income statement, balance sheets, Cash Flow Statement, Cost accounting reports and other reports).
March 2013
To December 2015
CFO
I found this job using Bayt.com
at Egypt TEDA
Location :
Egypt - Suez
November 2008
To January 2010
CHIEF ACCOUNTANT
at EGYPT TEDA INVESTMENT CO.
Location :
Egypt
Preparation of monthly & yearly Financial analysis and statistical reports
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors work under progress of the projects.
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers and international supplier,
including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Oversees accounts receivable for local client and international client,
including client balance and the collection.
Preparation bank reconciliations of weekly and monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing.
Reviews work of the assigned accounting team and work with the information
systems team to develop and enhance financial reporting.
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Prepare the financial reports (Trial balance, income statement, balance sheets, Cash Flow Statement, Cost accounting reports and other reports).
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors work under progress of the projects.
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers and international supplier,
including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Oversees accounts receivable for local client and international client,
including client balance and the collection.
Preparation bank reconciliations of weekly and monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing.
Reviews work of the assigned accounting team and work with the information
systems team to develop and enhance financial reporting.
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Prepare the financial reports (Trial balance, income statement, balance sheets, Cash Flow Statement, Cost accounting reports and other reports).
April 2007
To October 2007
Financial Controller
at Charm life Co.
Location :
Egypt
Cash Accounts.
Subcontractors Accounts.
Checking the store and Purchasing Department.
Preparation of monthly & yearly Financial analysis and statistical reports
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers, including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Preparation bank reconciliations of monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Reviews work of the assigned accounting team and work with the information
Systems team to develop and enhance financial reporting.
Prepare the financial reports (Trial balance, income statement, balance sheets,
Cost accounting reports and other reports).
Subcontractors Accounts.
Checking the store and Purchasing Department.
Preparation of monthly & yearly Financial analysis and statistical reports
Analysis of various cost centers.
Reviews current account activity, including transactions monthly reconciliations
and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting
Monitors fixed assets including additions and transfers from work in progress to
Fixed assets accounts and register.
Oversees accounts payable for local suppliers, including suppliers balance
Reconciliations sing off on supplier’s cheques, weekly supplier payments.
Preparation bank reconciliations of monthly
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts
Effective control on purchasing
Compilation and analyzing of financial information, using financial statements,
ledgers and reports
Assisting in the preparation of special statistical reports
Prepare profit and loss statement and closing of monthly and year-end accounts.
Manage the monthly variance analyses reports.
Reviews work of the assigned accounting team and work with the information
Systems team to develop and enhance financial reporting.
Prepare the financial reports (Trial balance, income statement, balance sheets,
Cost accounting reports and other reports).
May 2004
To April 2007
Chief Accountant
at Plan Hotel Egypt
Location :
Egypt
- Bank Accounts.
- Cash Accounts .
- Subcontractors Accounts.
- Checking the store and Purchasing Department.
- Preparation of monthly & yearly Financial analysis and statistical reports .
- Analysis of various cost centers.
- Reviews current account activity, including transactions monthly reconciliations and balances for the subsidiaries.
- General accounting (Keep Books), budgeting, cost accounting
- Monitors fixed assets including additions and transfers from work in progress to fixed assets accounts and register.
- Oversees accounts payable for local suppliers, including suppliers balance
- reconciliations, sing off on suppliers cheques, weekly supplier payments.
- Preparation bank reconciliations of monthly
- Reviews monthly payroll, sign off on employee payment and deductions.
- responsible for accounting of monthly and quarterly store inventory counts
- Effective control on purchasing
- Compilation and analyzing of financial information, using financial statements, ledgers and reports
- Assisting in the preparation of special statistical reports
- Prepare profit and loss statement and closing of monthly and year-end accounts.
- manage the monthly variance analyses reports.
- Reviews work of the assigned accounting team and work with the information systems team to develop and enhance financial reporting.
- Relive for financial controller during vacation
- Prepare the financial reports (Trial balance, income statement, balance sheets, cost accounting reports and other reports).
- Cash Accounts .
- Subcontractors Accounts.
- Checking the store and Purchasing Department.
- Preparation of monthly & yearly Financial analysis and statistical reports .
- Analysis of various cost centers.
- Reviews current account activity, including transactions monthly reconciliations and balances for the subsidiaries.
- General accounting (Keep Books), budgeting, cost accounting
- Monitors fixed assets including additions and transfers from work in progress to fixed assets accounts and register.
- Oversees accounts payable for local suppliers, including suppliers balance
- reconciliations, sing off on suppliers cheques, weekly supplier payments.
- Preparation bank reconciliations of monthly
- Reviews monthly payroll, sign off on employee payment and deductions.
- responsible for accounting of monthly and quarterly store inventory counts
- Effective control on purchasing
- Compilation and analyzing of financial information, using financial statements, ledgers and reports
- Assisting in the preparation of special statistical reports
- Prepare profit and loss statement and closing of monthly and year-end accounts.
- manage the monthly variance analyses reports.
- Reviews work of the assigned accounting team and work with the information systems team to develop and enhance financial reporting.
- Relive for financial controller during vacation
- Prepare the financial reports (Trial balance, income statement, balance sheets, cost accounting reports and other reports).
August 2003
To May 2004
Senior accountant
at Sea Club Stella Di Mare
Location :
Egypt
Reviews current account activity, including transactions monthly reconciliations and balances for the subsidiaries.
General accounting (Keep Books), budgeting, cost accounting.
Monitors fixed assets including additions and transfers from work in progress to fixed assets accounts and register.
Oversees accounts payable for local suppliers, including suppliers balance reconciliations, sing off on suppliers cheques, weekly supplier payments.
Preparation bank reconciliations of monthly.
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts.
Handling taxes matter (withholding tax).
Effective control on purchasing.
Compilation and analyzing of financial information, using financial statements, ledgers, and reports
Assisting in the preparation of special statistical reports.
Prepare profit and loss statement and closing of monthly and year-end accounts.
manage the monthly variance analyses reports.
Reviews work of the assigned accounting team and work with the information systems team to develop and enhance financial reporting.
Relive for financial controller during vacation.
Prepare the financial reports (Trial balance, income statement, balance sheets, cost accounting reports and other reports)
General accounting (Keep Books), budgeting, cost accounting.
Monitors fixed assets including additions and transfers from work in progress to fixed assets accounts and register.
Oversees accounts payable for local suppliers, including suppliers balance reconciliations, sing off on suppliers cheques, weekly supplier payments.
Preparation bank reconciliations of monthly.
Reviews monthly payroll, sign off on employee payment and deductions.
responsible for accounting of monthly and quarterly store inventory counts.
Handling taxes matter (withholding tax).
Effective control on purchasing.
Compilation and analyzing of financial information, using financial statements, ledgers, and reports
Assisting in the preparation of special statistical reports.
Prepare profit and loss statement and closing of monthly and year-end accounts.
manage the monthly variance analyses reports.
Reviews work of the assigned accounting team and work with the information systems team to develop and enhance financial reporting.
Relive for financial controller during vacation.
Prepare the financial reports (Trial balance, income statement, balance sheets, cost accounting reports and other reports)
March 2002
To August 2003
Accounts Payable
at Tourastic international Company
Location :
Egypt
- Well Versed in Tally.
- Issuing daily & monthly cash reports.
- checking for all invoices received from Supplies with the documents (P.R. & P.Order )
- Checking with the cost control the balance of inventory end of the month
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- Supervision and controling the balance of the materials by it’ s cost code.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( S B S & ACCOUNTANT SOFTWARE ).
- Handling taxes matter (Withholding tax ).
- Preparing and payment the salaries for the company employee’s.
- Final statement of account.
- Have an extensive background in administration.
- Issuing daily & monthly cash reports.
- checking for all invoices received from Supplies with the documents (P.R. & P.Order )
- Checking with the cost control the balance of inventory end of the month
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- Supervision and controling the balance of the materials by it’ s cost code.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( S B S & ACCOUNTANT SOFTWARE ).
- Handling taxes matter (Withholding tax ).
- Preparing and payment the salaries for the company employee’s.
- Final statement of account.
- Have an extensive background in administration.
June 2001
To March 2002
accounts Payable & Payroll accounts
at Egypyian Company
Location :
Egypt
- Well Versed in Tally.
- Issuing daily & monthly cash reports.
- checking for all invoices received from Supplies with the documents (P.R. & P.Order )
- Checking with the cost control the balance of inventory end of the month
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- Supervision and controling the balance of the materials by it’ s cost code.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( S B S & ACCOUNTANT SOFTWARE ).
- Handling taxes matter (Withholding tax ).
- Preparing and payment the salaries for the company employee’s.
- Final statement of account.
- Have an extensive background in administration
- Issuing daily & monthly cash reports.
- checking for all invoices received from Supplies with the documents (P.R. & P.Order )
- Checking with the cost control the balance of inventory end of the month
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- Supervision and controling the balance of the materials by it’ s cost code.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( S B S & ACCOUNTANT SOFTWARE ).
- Handling taxes matter (Withholding tax ).
- Preparing and payment the salaries for the company employee’s.
- Final statement of account.
- Have an extensive background in administration
May 2000
To June 2001
General Cashier
at Egyptian Company
Location :
Egypt
Well Versed in Tally.
- Issuing daily & monthly cash reports.
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( ACCOUNTANT SOFTWARE ).
- payment the salaries for the company employee’s.
- Issuing daily & monthly cash reports.
- Payment of all invoices (Cash & Cheque) and receive all accountants receivable.
- General accounting (Keep Books ).
- Data entering fields in the data base system ( ACCOUNTANT SOFTWARE ).
- payment the salaries for the company employee’s.
July 1998
To April 1999
Night Auditor
at Egyptian Company
Location :
Egypt
- Checking for all Checks Cash and Charge or Credit card
- Checking for all the price list
- prepare all reports for cost & revenue
- prepare daily report & monthly reports for the cost & sales revenue
- prepare report for analysis cost & revenue
- Checking for all the price list
- prepare all reports for cost & revenue
- prepare daily report & monthly reports for the cost & sales revenue
- prepare report for analysis cost & revenue
June 1997
To September 1997
Cashier
at Banque Du Cairo (Cairo Bank)
Location :
Egypt
- Training in Practical Cashier
- Receiving Cash & Issuing Value Cheque for Customers.
- Record Journal Entry (Financial Transaction), Debit & Credit Based on Customers Accounts in a Branch
- Receiving Cash & Issuing Value Cheque for Customers.
- Record Journal Entry (Financial Transaction), Debit & Credit Based on Customers Accounts in a Branch
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