مينا نبيل فارس لوندى لوندى, Senior Internal Auditor

مينا نبيل فارس لوندى لوندى

Senior Internal Auditor

مستشفى العذراء وابى سيفين

البلد
مصر - القاهرة
التعليم
بكالوريوس, Accountant
الخبرات
15 years, 11 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :15 years, 11 أشهر

Senior Internal Auditor في مستشفى العذراء وابى سيفين
  • مصر - القاهرة
  • أشغل هذه الوظيفة منذ أبريل 2019

- Reviewing all financial operations and auditing them financially and systematically in terms of attachments and accuracy of accounts and the validity of signatures and powers, receipts and appropriations to ensure compliance with the policies and procedures adopted.
- Prepares the necessary matches for the accounts of the company with the accounts of the external parties that deal with various accounts in order to ensure the authenticity of the balances of the system.
- Follow up any entitlements on the company or for its benefit and prove it to the system by recording it on the computer or for the accounts of suppliers or other parties.
- Prepares of financial statements and business results for the year by providing all required information through the operating system.
- The introduction of accounting restrictions and data on the computer and the work of comparisons required.
- Prepares of audit balances.
- Prepares the required data for the closing accounts, balance sheet and preparation of settlement restrictions.
- Making the required data to prepare the estimated budgets and prepare the comparison data between actual and estimated.
- Prepares Issuing periodic follow-up reports on various financial operations.
- Prepares of financial claims and follow-up of collection and examination of accounts receivable.
- Prepares periodic claims for fixed asset accounts in detailed records.
- Follow up of the existing financial covenant with the employees and ensure that they are reviewed on time.
- Examine the cost centers periodically, and issue the necessary adjustments.
- Participate in preparing the estimated budgets of the company in cooperation and coordination with other departments and submitted to the director of the company.
- Monitor the actual results of the company and compare them with the estimated budget and prepare periodic reports of deviations between the actual numbers and budget figures and explain the reasons for these deviations and recommendations to address the causes.
- Reviewing all financial transactions related to salaries and auditing them financially and systematically in terms of attachments, accuracy of accounts, validity of signatures, powers, receipts and appropriations to ensure compliance with approved policies and procedures.
- Prepares of salary entitlements.
- Monitoring the validity of compliance with the implementation of the system and financial policies.
- Prepares of bank reconciliation.

Senior Accountant في Refug-Egypt
  • مصر - القاهرة
  • أبريل 2016 إلى مارس 2019

- Reviewing all financial operations and auditing them financially and systematically in terms of attachments and accuracy of accounts and the validity of signatures and powers, receipts and appropriations to ensure compliance with the policies and procedures adopted.
- Prepares the necessary matches for the accounts of the company with the accounts of the external parties that deal with the various accounts in order to ensure the authenticity of the balances of the system.
- Follow up any entitlements on the company or for its benefit and prove it to the system by recording it on the computer or for the accounts of suppliers or other parties.
- Prepares of financial statements and business results for the year by providing all required information through the operating system.
- The introduction of accounting restrictions and data on the computer and the work of comparisons required.
- Prepares of audit balances.
- Prepares the required data for the closing accounts, balance sheet and preparation of settlement restrictions.
- Making the required data to prepare the estimated budgets and prepare the comparison data between actual and estimated.
- Prepares Issuing periodic follow-up reports on various financial operations.
- Prepares of financial claims and follow-up of collection and examination of accounts receivable.
- Prepares periodic claims for fixed asset accounts in detailed records.
- Follow up of the existing financial covenant with the employees and ensure that they are reviewed on time.
- Examine the cost centers periodically, and issue the necessary adjustments.
- Participate in preparing the estimated budgets of the company in cooperation and coordination with other departments and submitted to the director of the company.
- Monitor the actual results of the company and compare them with the estimated budget and prepare periodic reports of deviations between the actual numbers and budget figures and explain the reasons for these deviations and recommendations to address the causes.
- Reviewing all financial transactions related to salaries and auditing them financially and systematically in terms of attachments, accuracy of accounts, validity of signatures, powers, receipts and appropriations to ensure compliance with approved policies and procedures.
- Prepares of salary entitlements.
- Monitoring the validity of compliance with the implementation of the system and financial policies.
- Calculate the costs of production of all products and operations of the company.
- Prepares of bank reconciliation

Accountant في Refuge-Egypt
  • مصر
  • يوليو 2009 إلى مارس 2016

1. Preparing cash and cheque payments vouchers, and ensuring the same are approved by the authorized signatories before payment by cashier.
2. Ensuring that all paid Vouchers are numbered in sequence and properly supported by relevant 3rd party receipts or documents approved by heads of the relevant departments.
3. Recording cash and cheque payments into the relevant cashbooks, and ensuring accuracy of monthly totals for posting into the general ledger.
4. As directed by the Accountant, to prepare detailed analyses and summaries of sub-ledger accounts, needed for management monitoring and decision making.
5. Preparing data and reports for and from the payroll e.g. deductions from payroll, staff benefits, payroll changes, social insurance info, etc.
6. Whenever requested, to prepare reconciliations of Petty cash to cashbook records or bank remittance records, and to carry out independent cash counts as directed.
7. Carrying out stock-counts in relevant stores and assist in updating books of independent off-location projects of Refuge Egypt.
8. Ensuring that all accounting records and files under your custody are kept securely, and properly labeled and backed-up; and that old records in archives are well kept.
9 . Preparing bank reconciliation

Accountant في the French company for Peugeot spare parts
  • مصر - القاهرة
  • مايو 2008 إلى مايو 2009

Work accounts customers and suppliers

الخلفية التعليمية

بكالوريوس, Accountant
  • في Ain Shams University
  • أكتوبر 2009

بكالوريوس تجارة شعبة محاسبة

Specialties & Skills

QuickBooks
Microsoft Windows
Accounting
Microsoft Excel
Internet Explorer
Good command of Microsoft Office: Outlook, Excel, Word, PowerPoint, Windows Applications and Interne
QuickBooks 15.0
communication skills
Analytical and research skills
Flexibility and ability to manage priorities
The desire to learn

اللغات

الانجليزية
متوسط

التدريب و الشهادات

Egyptian Accounting Standards (الشهادة)
تاريخ الدورة:
January 2016
Information Systems Institute For Armed Forces (الشهادة)
تاريخ الدورة:
October 2011
صالحة لغاية:
December 2011