John Nabil Lamey, Treasury Controller

John Nabil Lamey

Treasury Controller

Xerox Egypt

Location
Egypt - Cairo
Education
Bachelor's degree, Accounting
Experience
14 years, 7 Months

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Work Experience

Total years of experience :14 years, 7 Months

Treasury Controller at Xerox Egypt
  • Egypt - Cairo
  • My current job since December 2017

- Monitoring and managing the organisation's bank relationships and liquidity management to avoid any deficit and to ensure optimum cash position.
- Managing foreign currency exposure and foreign currency payments.
- Analysing various scenarios and risks and reporting to senior management.
- Forecasting of medium and long- term funding and hedging requirements (if applicable).
- Daily cash management and Cash forecasting.
- Debt facilities management in accordance with our facility contracts limits, terms and conditions.
- Interest rate risk management and development of risk mitigation strategies.
- Foreign exchange risk management and development of foreign exchange risk mitigation strategies.
- Team management.
- Supporting the month end process where necessary.
- Treasury Reporting Package (Cash Flow, Currency Exposure, 3rd party debt, Importation payments, Inter-Company Balances, Bank accounts & Bank Facilities granted).
- Prepare Daily Reports (Currency reports, cash Position, Foreign Currency needs).

Executive Treasury Accountant at MCV Mercedes Benz
  • Egypt - Cairo
  • September 2012 to November 2017

- Preparing & Adjusting banks Accounts and banks Reconciliations.
- Manage company funds on daily basis to coordinate between cash in & cash out to avoid any deficit and to ensure optimum cash position.
- Preparing Transfers Between Banks.
- Communicate with dealing room to purchase the needed foreign currency amounts to fulfil our commitments.
- Preparing all the required documents of Form 4.
- Daily tracking and control issued LC's.
- Handling payment requests from AP to settle outstanding LC's.
- Control the outstanding custom releasing evidence obligation requested by banks on daily basis, ensuring that no clearance letter will exceed the undertaking.
- Make transfers to local and foreign suppliers in time.
- Handling Shipping documents with custom clearance team.
- Issuance, extend, amendments, cancellation, and updating records letters of guarantee data base.
- Review bank Charges.
- Perform finance payment solution, funding and risk management related activities When needed.
- Monitoring Issued Cheques.
- Revising deposit trust receipt and cheques to the banks.
- Prepare internal reports and treasury reports (Daily and Monthly).
- Support in managing company facility lines utilisation in accordance with our facility contracts limits, terms and conditions.

Insurance department Responsibilities:

- Responsible for the final report using ERP Systems.
- Calculate premiums, refunds, commissions, adjustments, and new reserve requirements using insurance rate standards establish payment method.
- Modify, renew, and process existing policies and claims to reflect any change in beneficiary, amount of coverage, or type of insurance.
- Process and record new insurance policies and aware the terms of insurance documents.
- Prepare Profit and loss of insurance.
- Compliance officer.

Accountant/Sales Executive at Cardio-Lease for Medical Systems
  • Egypt - Cairo
  • August 2010 to August 2012

- Prepare journal entries.
- Reconcile and maintain balance sheet accounts.
- Prepare the monthly closings and preparation of monthly financial statements.
- Assist with preparation of monthly financial reports.
- Carried out banking duties as required.
- Handle all banking issues and resolving dilemmas.

Sales Responsibilities:

- Representing company’s products to Doctors and Hospitals.
- Dealing with customer enquiries.
- Ensuring that a customer’s problem is brought to a satisfactory conclusion.

Salesman
  • April 2009 to November 2009

►Representing company’s products to customers.
►Negotiating on delivery and specifications with buyers.

Education

Bachelor's degree, Accounting
  • at Ain Shams University
  • May 2010

College Education

High school or equivalent, Basic Study
  • at École Saint-Joseph
  • May 2006

Basic Study

Specialties & Skills

Accounting
Office Work
CASH FLOW
CONTRACT MANAGEMENT
DATABASE ADMINISTRATION
FINANCIAL
LETTERS
MANAGEMENT
REPORTS
TREASURY
ACCOUNTANCY

Languages

Arabic
Native Speaker
English
Expert
French
Beginner

Training and Certifications

Taxes Diploma (Certificate)
Date Attended:
May 2011
Effective Communication Skills (Training)
Training Institute:
ESLSCA
Date Attended:
March 2014
Duration:
30 hours
Advanced MS Excel (Training)
Training Institute:
Inform for Education
Date Attended:
January 2016
Duration:
30 hours
English intermediate level (Training)
Training Institute:
MCV Academy
Date Attended:
January 2017
Duration:
160 hours
Certificate Treasury Professional (In process) (Certificate)
Date Attended:
December 2019