Executive Manager -CEO-
First Beginning Establishment
مجموع سنوات الخبرة :34 years, 10 أشهر
The company has 3 branches (Cairo, Sharm El-Shiekh & 10th of Ramadan City) & about 250 employers. My job is how to manage between the branches requirements, handle the financial reports (daily, monthly - sells, cost - cash, credit-actual - expected), follow up with the banking requirements (cash follow, suppliers, checks, personal withdrawn & time deposits) & build the annual budget in cooperation with all the head departments & follow up its activation after approved it from the board.
It is a Public Accounting & Auditing Office in Cairo. I was worked as Auditing Manager for the service sector alike hotels, restaurants, security companies, supermarkets, clubs, casino & all service companies. I was checking their trail Balance & audit it, take simples form & compare with the daily work. After this recheck & compare the financial statements
& prepare the final report about their Balance Sheet. I was the responsible about 15 position under 10 international management companies. We also prepare feasibility studies for many projects
It is an Accounting & Consulting Office which has some branches in Egypt (Cairo, Sharm El Shiekh & 10th of Ramadan city) .I was the manager for Sharm Office .I had about 85 companies which provided our service. They were in several fields alike hotels, supermarkets, security companies, import & export, trading, diving centers, safary, clubs, traveling & so many fields. We also prepare feasibility studies for many projects.
* Managing & controlling the finance team work.
* Prepare the financial statements as per AFRIS, standard accountanting & the tax policies.
* Managing, building &controlling the budget as the activation & improvement point.
* Prepare the taxes requirements & the bank requirements.
* Prepare the financial policies & procedures for all the financial departments as the general policy point.
* Follow up the investments & the market economics.
* Follow up with the outside alike internal & external auditing.
* Planning & Follow up the Cash flow to arrangement the cash money requirements in the suitable time.
* Managing & controlling the finance team work.
* Prepare the financial statements as per AFRIS, standard accountanting & the tax policies.
* Managing, building &controlling the budget as the activation & improvement point.
* Prepare the taxes requirements & the bank requirements.
* Prepare the financial policies & procedures for all the financial departments as the general policy point.
* Follow up the investments & the market economics.
* Follow up with the outside alike internal & external auditing.
* Planning & Follow up the Cash flow to arrangement the cash money requirements in the suitable time.
* Managing & controlling the finance team work.
* Prepare the financial statements as per AFRIS, standard accountanting & the tax policies.
* Managing, building &controlling the budget as the activation & improvement point.
* Prepare the taxes requirements & the bank requirements.
* Prepare the financial policies & procedures for all the financial departments as the general policy point.
* Follow up the investments & the market economics.
* Follow up with the outside alike internal & external auditing.
* Planning & Follow up the Cash flow to arrangement the cash money requirements in the suitable time.
* Managing & controlling the finance team work.
* Prepare the financial statements as per AFRIS, standard accountanting & the tax policies.
* Managing, building &controlling the budget as the activation & improvement point.
* Prepare the taxes requirements & the bank requirements.
* Prepare the financial policies & procedures for all the financial departments as the general policy point.
* Follow up the investments & the market economics.
* Follow up with the outside alike internal & external auditing.
* Planning & Follow up the Cash flow to arrangement the cash money requirements in the suitable time.
* Managing & controlling the finance team work.
* Prepare the financial statements as per AFRIS, standard accountanting & the tax policies.
* Managing, building &controlling the budget as the activation & improvement point.
* Prepare the taxes requirements & the bank requirements.
* Prepare the financial policies & procedures for all the financial departments as the general policy point.
* Follow up the investments & the market economics.
* Follow up with the outside alike internal & external auditing.
* Planning & Follow up the Cash flow to arrangement the cash money requirements in the suitable time.
Excellent
Pass