Karim Hamdy, cost controller manager

Karim Hamdy

cost controller manager

Kuwait energy

Location
Egypt - Cairo
Education
Bachelor's degree, Accounting
Experience
18 years, 9 Months

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Work Experience

Total years of experience :18 years, 9 Months

cost controller manager at Kuwait energy
  • Egypt - Cairo
  • January 2014 to August 2019

1- Review the incoming invoices with supporting documents / contract, apply the Account number & AFE code

2- Prepare the monthly management report on a monthly basis with the actual Vs budget & variance clarifications.

3- Prepare the cost recovery statements & Crude oil recovery Statements on a quarterly basis.

4- Follow up with the EGPC auditor & negotiate the finding& arrange outstanding settlement with EGPC.

5- Prepare Aging report for all the crude oil invoices raised & Collections for EGPC receivables & reconcile Company's balances with EGPC.

6- perform Audit on partner’s Expenditures Vs Cashcalls paid & discuss the findings with the partner’s finance team.

chief accountant at Kuwait Energy
  • Egypt - Cairo
  • May 2008 to December 2013

1- Review the journal & AP entries for Kuwait energy “Corporate “and the 2 concessions (BEA and Abu Sennan)
2- Review and reconcile vendors accounts and prepayments for the monthly closing
3- Review and reconcile all intercompany accounts
4- Review checks and transfers to the Vendors by the end of each month
5- Prepare bank reconciliation on a monthly basis
6- Prepare the month closing report "MIS"
7- Prepare the cost recovery statement on a quarterly basis and follow up with the EGPC auditor
8- Prepare the financial statement & needed document for the external auditors, group auditors and review the auditor's report
9- Prepare Partners cashcall report for the expenses on a monthly basis.

10- Prepare the fixed assets file with the purchase date and Depreciation.

11- Review & Record the JIB received from JV

12- Prepare the Accruals & Month closing G&A allocation.

Cost control & Budgeting superviser at Perenco north Sinai petroleum
  • Egypt - Cairo
  • March 2004 to May 2008

1- Review and record all the transactions in SAP
2- Review and reconcile vendors accounts and prepayments for the monthly closing
3- Review and reconcile all intercompany accounts
4- Issuing checks and transfers to the Vendors by the end of each month
5- Prepare weekly and monthly bank reports for our banks balances and send them to the Holding
6- Prepare bank reconciliation and cash count on a monthly basis
7- Prepare the month closing reports "MA, CF & ONS report"
8- Prepare the cost recovery statement on a quarterly basis and follow up with the EGPC auditor
9- Prepare the financial statement & needed document for the external auditors, group auditors and review the auditor's report

Experienced Staff Auditor at Mostafa Shawki & Co.
  • Egypt - Cairo
  • December 2000 to February 2004

I am working in Mostafa Shawki & Co. Since December 2000 till now, in the audit Division, I audited many Local & international Firms
JOB DESCRIPTION:
· Auditing interim and final financial statements
· Preparing financial statements and auditor's report

COURSES ATTENDED:
· Accounting for review of interim financial information.
· Related party trasactions.
· Property & depreciation.
· Recievables & payables .
· Sales .


ASSIGNMENTS TAKEN:

Industrial Companies:
· Nissan Misr.
· Maghrabi for optical industires.
· south valley for Cement.

Hotels:
· Arab international company for Hotels and tourism ( Ramsis Hilton ).
· Taba first hotel.
· International company for touristic and investments ( hotel Conrad )

Services Companies:
· Maghrabi Optics.
· International Duty free.
· Medicare.
· Unipro.
· World trade center.

Agricultural Companies:
· Nadco

Banks:
· ECB (Egyptian Commercial Bank)
· AIB (Arab International Bank )

Education

Bachelor's degree, Accounting
  • at Faculty of Commerce - Cairo university
  • May 2000

Specialties & Skills

Statements
Accounting
Tourism
Windows, WinWord, Excell, Internet

Languages

English
Expert