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Hatem Ahmed, CFO (Chief Financial Officer)

Hatem Ahmed

CFO (Chief Financial Officer)·Bosphorus Commercial Investment Company

Egypt

Bachelor's degree, Accounting

Work experience

Total years of experience: 26 years, 10 months

CFO (Chief Financial Officer)

June 2024 - Present

Bosphorus Commercial Investment Company

Cairo, Egypt

June 2024 - Present

• Develop and implement financial strategies that align with the companys overall goals.
• Provide financial insights and recommendations to senior management.
• Prepare and analyze financial statements, including balance sheets, income statements,
and cash flow statements.
• Monitor and control production and manufacturing costs.
• Develop and manage the companys budget.
• Monitor budget performance and identify variances.
• Risk Management.
• Treasury Management

Company industry:
Sales Outsourcing
Job role:
Accounting and Auditing

Director & Partner

October 2023 - May 2024

Egyptian Arab Group for Financial and Tax Consultations

Cairo, Egypt

October 2023 - May 2024

Provide financial and tax consultations to clients, including corporate restructuring, feasibility
studies, and forensic accounting.
Manage electronic invoicing, income certificates, and value-added tax (VAT) registrations.
Offer expertise in trademark registration, export/import documentation, and social insurance
compliance.

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

Financial Manager

March 2022 - July 2023

HMF Ltd (Software Company)

Cairo, Egypt

March 2022 - July 2023

Managed the financial affairs for a leading software company with annual
revenues of EGP 100 Million, ensuring financial stability and sustainable growth.
Increased profit margins from 30% to 40% (a 10 percentage point increase)
exceeding forecasts, through the application of sophisticated financial models
and strategic optimization of contract terms.
Led initiatives to improve client and maintenance contracts, resulting in tangible
cost savings and a significant increase in recurring revenue.
Provided accurate and timely financial reports and analyses to the Board of
Directors, enabling informed and effective strategic decisions.

Company industry:
Economics & Financial Consulting
Job role:
Information Technology

Chief Financial officer

January 2020 - February 2021

Zain Group for the Management of Hotels and Restaurants

Cairo, Egypt

January 2020 - February 2021

Developed and managed budgets and forecasts, creating complex financial models to support
strategic planning.
Conducted variance analysis and presented financial reports to the board of directors.
Collaborated with auditors and tax authorities to ensure compliance with regulations.

Company industry:
Catering, Food Service, & Restaurant
Job role:
Hospitality and Tourism

Financial Manager

October 2019 - January 2020

Moustafa Plast Co. for the Plastics Industry

Cairo, Egypt

October 2019 - January 2020

Oversaw accounting operations, including inventory accounting and revenue recognition.
Prepared financial statements and budget reports for internal management.
Ensured compliance with local and federal tax reporting requirements.

Company industry:
Industrial Production

Financial Manager

January 2017 - January 2019

Owili Industrial Investment Corp

Cairo, Egypt

January 2017 - January 2019

Provided strategic financial advice and developed financial plans to support business growth.
Evaluated market trends and updated financial strategies to ensure profitability.
Ensured compliance with industrial laws and maintained relationships with professional service
providers.

Company industry:
Industrial Production

Finance Director & Managing Director

January 2014 - May 2017

Pandora Travel

Sharm el Sheikh, Egypt

January 2014 - May 2017

• Develop, manage and compile budgets and forecasts, along with building and maintaining complex models to capture key drivers of strategic plan
• Maintain revenue forecast models for all lines of business
• Present budget and forecast variance analysis as part of monthly reporting cycle
• Create financial slides for bi-weekly operating committee and bi-monthly board of directors’ meetings
• Cash Flow and Balance Sheet forecasting: Develop and maintain complex model, coordinate inputs with business units and accounting
• Perform routine and ad hoc financial analysis such as reporting on key metrics, performing ROI analysis on investments, benchmarking R&D and other spending and analyzing potential strategic partnerships and/or acquisitions
• Collaborate on period-end tasks as needed and interface with auditors and tax preparers as needed
• Provide all the financial analysis that would clarify the financial situation of the company and do all the special procedures to facilitate internal and external funding and clarify the credit risk and planning of future operations of the company
• Arranges companys financial transactions
• Transactions including credits, running accounts management, checks, monthly balance adjustments and reconciliation among all accounts in both local and foreign currencies
• Prepares financial statements at the institutional level; and budget reports for internal management
• Managed the accounting movements and records entries
• Runs all taxes authorities in all related transactions
• Implements financial analysis & reports
• Accomplishes and approves the companys and any new project budget.
• Book keeping & prepare the final budget.
• Protector of the Income & Expenses.
• Protector of the Safe the Company.
• Set up The Annual Budgetary

Company industry:
Entertainment
Job role:
Accounting and Auditing

Finance Director & Managing Director

January 2014 - May 2017

Pandora Travel

Sharm el Sheikh, Egypt

January 2014 - May 2017

Managed budgets, forecasts, and cash flow projections for multiple business lines.
Conducted ROI analysis and evaluated potential strategic partnerships.
Supervised accounting teams and ensured the accuracy of financial data.

Company industry:
Hospitality & Accomodation
Job role:
Management

Financial Director

May 2010 - October 2014

Egyptian Divers

Sharm el Sheikh, Egypt

May 2010 - October 2014

Oversaw budget preparation, financial projections, and cash flow management.
Conducted financial analysis and provided recommendations for strategic decision-making.

Company industry:
Entertainment
Job role:
Accounting and Auditing

Finance Director

April 2013 - December 2013

Sea Wind Diving Center

Sharm el Sheikh, Egypt

April 2013 - December 2013

• Develop, manage and compile budgets and forecasts, along with building and maintaining complex models to capture key drivers of strategic plan
• Maintain revenue forecast models for all lines of business
• Present budget and forecast variance analysis as part of monthly reporting cycle
• Create financial slides for bi-weekly operating committee and bi-monthly board of directors’ meetings
• Cash Flow and Balance Sheet forecasting: Develop and maintain complex model, coordinate inputs with business units and accounting
• Perform routine and ad hoc financial analysis such as reporting on key metrics, performing ROI analysis on investments, benchmarking R&D and other spending and analyzing potential strategic partnerships and/or acquisitions
• Collaborate on period-end tasks as needed and interface with auditors and tax preparers as needed
• Provide all the financial analysis that would clarify the financial situation of the company and do all the special procedures to facilitate internal and external funding and clarify the credit risk and planning of future operations of the company
• Arranges companys financial transactions
• Transactions including credits, running accounts management, checks, monthly balance adjustments and reconciliation among all accounts in both local and foreign currencies
• Prepares financial statements at the institutional level; and budget reports for internal management
• Managed the accounting movements and records entries
• Runs all taxes authorities in all related transactions
• Implements financial analysis & reports
• Accomplishes and approves the companys and any new project budget.
• Book keeping & prepare the final budget.
• Protector of the Income & Expenses.
• Protector of the Safe the Company.
• Set up The Annual Budgetary

Company industry:
Entertainment
Job role:
Accounting and Auditing

Financial Manager

January 2013 - December 2013

Sea Wind Diving Center

Sharm el Sheikh, Egypt

January 2013 - December 2013

Developed financial models and maintained revenue forecasts.
Prepared financial slides for board meetings and conducted variance analysis.
Managed accounting operations and ensured compliance with tax regulations.

Company industry:
Hospitality & Accomodation

Financial Director

December 2011 - May 2012

Carinza Tours

Cairo, Egypt

December 2011 - May 2012

1.Preparation, coordination and retention plan for a unified control through professionals managers include this plan in accordance with the requirements of economic criteria for the cost of budget expenses, predictable sales, profit planning, investment programs and funding, as well as the actions necessary to implement the plan
2. Measuring and reporting on the validity of the objectives of economic unity, effectiveness of policies, organizational structure and procedures to be followed to achieve those objectives include consulting all the various administrative levels responsible for implementing policies regarding any aspect of the economic unit
3. Measuring performance compared with the actual operations plans, standards, reporting the results of operations, interpretation of all levels of management and guarantee this function design and develop accounting systems, financial costs, maintain records, to identify accounting policies and the design of accounting records in accordance to offset economic unity


1 - led by employees of the company do to raise the level of service and performance and increase the percentage of sales
2 - Provide periodic reports on the activities of the company to the Board of Directors.
3 - represent the company in front of others.

Company industry:
Hospitality & Accomodation
Job role:
Accounting and Auditing

Financial Manager

December 2011 - January 2012

Carinza Tours

Cairo, Egypt

December 2011 - January 2012

Managed the finance department, including cash flow, bank transactions, and financial
reporting.
Prepared profit and loss accounts and balance sheets.
Developed strategies for capital acquisition and investment allocation.

Company industry:
Hospitality & Accomodation

Finance Director

May 2010 - April 2011

EGYPTIAN DIVERS

Sharm el Sheikh, Egypt

May 2010 - April 2011

• Develop, manage and compile budgets and forecasts, along with building and maintaining complex models to capture key drivers of strategic plan
• Maintain revenue forecast models for all lines of business
• Present budget and forecast variance analysis as part of monthly reporting cycle
• Create financial slides for bi-weekly operating committee and bi-monthly board of directors meetings
• Cash Flow and Balance Sheet forecasting: Develop and maintain complex model, coordinate inputs with business units and accounting
• Perform routine and ad hoc financial analysis such as reporting on key metrics, performing ROI analysis on investments, benchmarking R&D and other spending and analyzing potential strategic partnerships and/or acquisitions
• Collaborate on period-end tasks as needed and interface with auditors and tax preparers as needed

Provide all the financial analysis that would clarify the financial situation of the company and do all the special procedures to facilitate internal and external funding and clarify the credit risk and planning of future operations of the company


• Arranges companys financial transactions
• Transactions including credits, running accounts management, checks, monthly balance adjustments and reconciliation among all accounts in both local and foreign currencies
• Prepares financial statements at the institutional level; and budget
reports for internal management
• Managed the accounting movements and records entries
• Runs all taxes authorities in all related transactions
• Implements financial analysis & reports
• Accomplishes and approves the companys and any new project budget.
Book keeping & prepare the final budget.
• Protector of the Income & Expenses.
• Protector of the Safe the Company.
• Set up The Annual Budgetary

Company industry:
Hospitality & Accomodation
Job role:
Accounting and Auditing

Financial Manager

February 2009 - April 2010

Red Sea Safari

Sharm el Sheikh, Egypt

February 2009 - April 2010

Provide all the financial analysis that would clarify the financial situation of the company and do all the special procedures to facilitate internal and external funding and clarify the credit risk and planning of future operations of the company
• Arranges companys financial transactions
• Transactions including credits, running accounts management, checks, monthly balance adjustments and reconciliation among all accounts in both local and foreign currencies
• Prepares financial statements at the institutional level; and budget
reports for internal management
• Managed the accounting movements and records entries
• Runs all taxes authorities in all related transactions
• Implements financial analysis & reports
• Accomplishes and approves the companys and any new project budget.
Book keeping & prepare the final budget.
• Protector of the Income & Expenses.
• Protector of the Safe the Company.
• Set up The Annual Budgetary

Company industry:
Hospitality & Accomodation
Job role:
Accounting and Auditing

Internal Audit

October 2005 - January 2010

Red Sea Safari

Sharm el Sheikh, Egypt

October 2005 - January 2010

Evaluated internal control systems and proposed improvements to enhance efficiency.
Ensured compliance with accounting policies and protected company assets.

Company industry:
Hospitality & Accomodation

Financial Manager

October 2005 - January 2009

NEW WAVES

Sharm el Sheikh, Egypt

October 2005 - January 2009

Provide all the financial analysis that would clarify the financial situation of the company and do all the special procedures to facilitate internal and external funding and clarify the credit risk and planning of future operations of the company
• Arranges companys financial transactions
• Transactions including credits, running accounts management, checks, monthly balance adjustments and reconciliation among all accounts in both local and foreign currencies
• Prepares financial statements at the institutional level; and budget
reports for internal management
• Managed the accounting movements and records entries
• Runs all taxes authorities in all related transactions
• Implements financial analysis & reports
• Accomplishes and approves the companys and any new project budget.
Book keeping & prepare the final budget.
• Protector of the Income & Expenses.
• Protector of the Safe the Company.
• Set up The Annual Budgetary

Company industry:
Hospitality & Accomodation
Job role:
Accounting and Auditing

Financial Accountant Trainee

March 2002 - September 2005

MAHMOUD HASSAN OFFICE

Cairo, Egypt

March 2002 - September 2005

Financial Accountant Trainee
I had a training there until I got my Financial Accounting Degree

Company industry:
Accounting
Job role:
Accounting and Auditing

Financial Accountant Trainee

January 2003 - January 2005

Mahmoud Hassan Office

Cairo, Egypt

January 2003 - January 2005

Assisted in bookkeeping, financial reporting, and audit preparations.

Company industry:
Economics & Financial Consulting

Chief Account

October 2001 - February 2002

New Waves

Cairo, Egypt

October 2001 - February 2002

Supervising the crew of accountants who work the company and the solution of problems related and make sure all input data and the submission of initial reports that measure the level of performance of the company

• Protector for Income & Expenses.
• Responsible of the Balance of Debits.
• Accountable of the Debits Accounts of the Company.
• Making Account Profit Analyses and Losses.
• The responsible of the Safe of the Company.

Company industry:
Sales Outsourcing
Job role:
Accounting and Auditing

Chief Account

April 2001 - September 2001

EL-MADINA

Cairo, Egypt

April 2001 - September 2001

Apr., 2001 till Sep, 2001 EL-MADINA Cairo, Egypt

Chief Account
Supervising the crew of accountants who work the company and the solution of problems related and make sure all input data and the submission of initial reports that measure the level of performance of the company

• Protector for Income & Expenses.
• Responsible of the Balance of Debits.
• Accountable of the Debits Accounts of the Company.
• Making Account Profit Analyses and Losses.
• The responsible of the Safe of the Company.

Company industry:
Supermarket
Job role:
Accounting and Auditing

Chief Accountant

May 1998 - March 2001

APPLE GROUP

Cairo, Egypt

May 1998 - March 2001

May., 1998 till Mar., 2001 APPLE GROUP Cairo, Egypt

Chief Accountant
• To Give Daily account to the Manger
• To Take into Accounts
• To Keep the Accounts
• Accountable of the Expenses and Income of the Company
• Accountable of the Debits of company

Company industry:
Advertising
Job role:
Accounting and Auditing

Accountant

July 1996 - January 1997

APPLE GROUP

Cairo, Egypt

July 1996 - January 1997

Jul., 1996 till Jan., 1997 APPLE GROUP Cairo, Egypt
Accountant
• Preparing Trial Balances
• Prepare monthly Financial Statement.
• Issue invoices.

Company industry:
Advertising
Job role:
Accounting and Auditing

Education

Azhar University

January 1996

January 1996

Bachelor's degree, Accounting

Egypt

B.Sc. Accounting, Faculty of Commerce, Azhar University, Egypt 1996

Skills

Accounting
Expert
Accounting
Expert
ACCOUNTANT
ACCOUNTANT
ACCOUNTING
ACCOUNTING
ACCOUNTS IN
ACCOUNTS IN
ADJUSTMENTS
ADJUSTMENTS
BOOK KEEPING
BOOK KEEPING
BUDGET
BUDGET
CLARIFY
CLARIFY
CREDIT
CREDIT
FINANCIAL ANALYSIS
FINANCIAL ANALYSIS
OPERATIONS
OPERATIONS
ACCOUNTING
Intermediate
ACCOUNTING
Intermediate
BUDGETING
Intermediate
BUDGETING
Intermediate
CASH FLOW MANAGEMENT
Intermediate
CASH FLOW MANAGEMENT
Intermediate
CHARTERED ACCOUNTANT
Intermediate
CHARTERED ACCOUNTANT
Intermediate
FINANCIAL MANAGEMENT
Intermediate
FINANCIAL MANAGEMENT
Intermediate
FINANCIAL PLANNING
Intermediate
FINANCIAL PLANNING
Intermediate
MANAGEMENT
Intermediate
MANAGEMENT
Intermediate
RISK ANALYSIS
Intermediate
RISK ANALYSIS
Intermediate
STRATEGIC PLANNING
Intermediate
STRATEGIC PLANNING
Intermediate
TAX COMPLIANCE
Intermediate
TAX COMPLIANCE
Intermediate
Accounting
Expert
Accounting
Expert

Languages

Arabic

Expert

English

Expert

Memberships

Egyptian Society of Taxation

Member

International Fiscal Association

Member

Egyptian Society for public finance &taxes

Member

Training and Certifications

Certifications
Certified International Arbitrator
CFA charter
Chartered Accountant No.21476