محمد احمد السيد احمد  جعفر, Treasury manager

محمد احمد السيد احمد جعفر

Treasury manager

Natura Agro Trade for import and export co

البلد
مصر - الإسكندرية
التعليم
بكالوريوس, المحاسبة
الخبرات
9 years, 1 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :9 years, 1 أشهر

Treasury manager في Natura Agro Trade for import and export co
  • مصر - الإسكندرية
  • أشغل هذه الوظيفة منذ أغسطس 2023

o Manage relationships with banks and financial institutions, including negotiating terms and fees
o Communicating with various banks to secure facilities at favorable interest rates
o Managing foreign currency exposure and foreign currency
payments
o Oversee the processing of bank transactions, including wire transfers, deposits, and withdrawals.
o Forecasting of medium and long- term funding
o Manage daily cash balances and liquidity to ensure adequate funding for operational needs.
o Debt facilities management
o Interest rate risk management and development of risk mitigation strategies
o Lead and mentor a team of treasury professionals, fostering a culture of collaboration and continuous improvement.
o Supporting the monthly closing precoders
o Preparing board reports
 weekly & Monthly cash flow report
 Monthly & Quarterly & annually cash budget report
o Monitoring all personal financial obligations of the Chairman of the Board.
Manage LCs & LGs

Treasury section head في El Mostafa for transportation and petroleum distribution
  • مصر - الإسكندرية
  • ديسمبر 2022 إلى يوليو 2023

Daily cash management
Debt facilities management
Daily Cash flow report
Prepare monthly bank reconciliation to all of the company bank accounts.
Prepare and monitor day to day updated cash forecast and handle the company obligations
Develop treasury procedures and controls with the company policies.
Analyzing various scenarios and risks and reporting to CEO
Ensure that a company's cash flow is adequate to allow it to operate effectively.
Make sure all due payments for creditors are paid on time.
Review all bank charges and commissions according to banks agreements
Relationship with many banks like " ABC, MISR, adib.adcb.nbk, قناه السويس Cairo, Alex, EBE, QNB, HSBC, FAB, NBD, CIB, UB, NBK, Agri bank, AlBaraka bank" in borg elarab, center of alex and nubaria branches
Monthly close procedures
Co-operate and handling with other departments like Ap, Ar

Treasury Section Head في El Alamien Flex For Packaging Martials
  • مصر - الإسكندرية
  • فبراير 2022 إلى نوفمبر 2022

Daily cash management
Debt facilities management
Debt facilities management
Preparing cash budget report.
Prepare monthly bank reconciliation to all of the company
bank accounts.
Prepare and monitor day to day updated cash forecast and
handle the company obligations
Develop treasury procedures and controls with the company policies.
Analyzing various scenarios and risks and reporting to senior management & CFO &CEO
Ensure that a company's cash flow is adequate to allow it to operate effectively.
Make sure all due payments for creditors are paid on time.
preparing and managing all procedures of L.C with different banks
Review all bank charges and commissions according to banks agreements
Monthly close procedures
Managing all procedures of LC with different banks

senior treasury accountant في Alexandria agricultural Company (LAMAR)
  • مصر - الإسكندرية
  • يونيو 2018 إلى فبراير 2022

o Record all banks transactions on ERP-System and reconcile
with bank statement
o Maintaining general ledger and preparing month-end close
procedures
o Preparing cash out checks & transfers to suppliers
o Handle cash out for foreign suppliers in it’s due dates with
import section
o monitor returned checks cycle
o Monitor notes receivable &checks under collection cycle
o Calculate all bank charges and commissions according to
banks agreements
o Record all accrued interest and expense
o Implemented new procedures for banking operations to
achieve efficient cash concentration and reporting
o Calculate Monthly banks credit interests and reconcile it
o Monitor all debit interest
o Communications with many banks like (QNB-NBK-CIB-
UTB-Misr-NBD-ABC-AAIB-EBE-Alex bank)
o Preparation of cash flow report
o Preparation of cash flow forecasting report

accountant في Best cheese
  • مصر - الإسكندرية
  • يناير 2017 إلى يونيو 2018

.
o Implementation -

Senior AR & banks accountant في Lamar
  • مصر - الإسكندرية
  • يناير 2017 إلى يناير 2018

Record all banks transactions on ERP-System and reconcile
with bank statement
o Maintaining general ledger and preparing month-end close
procedures
o Preparing cash out checks & transfers to suppliers
o Handle cash out for foreign suppliers in it’s due dates with
import section
o monitor returned checks cycle
o Monitor notes receivable &checks under collection cycle
o Calculate all bank charges and commissions according to
banks agreements
o Record all accrued interest and expense
o Implemented new procedures for banking operations to
achieve efficient cash concentration and reporting
o Calculate Monthly banks credit interests and reconcile it
o Monitor all debit interest
o Communications with many banks like (QNB-NBK-CIB-
UTB-Misr-NBD-ABC-AAIB-EBE-Alex bank)
o Preparation of cash flow report
o Preparation of cash flow forecasting report

Stock controller في Best Cheese Company
  • مصر
  • ديسمبر 2014 إلى يونيو 2015

Om Zghio Branch)
2- Receivable accountant.
o Record all invoices and return sales on Axapta ERP System.
o Following collection from all customers and Their credit limit
o Preparation of Daily cash reconciliation report
o Responsible for all expense of sales vans and branch
o

Payroll accountant في Alexandri
  • مصر
  • نوفمبر 2013 إلى يناير 2015

الخلفية التعليمية

بكالوريوس, المحاسبة
  • في جامعة طنطا
  • يونيو 2012

Specialties & Skills

Microsoft Dynamics
Cash Flow Forecasting
Account Reconciliation
Bank Reconciliations
Microsoft Office
Risk Management
ACTIVITY BASED COSTING
BANKING
CASH FLOW
FORECASTING
GENERAL LEDGER
LOTUS NOTES
REPORTS
payments
accounting
reconciliation
accounts payable
account reconciliation
monthly closing
accounts receivable
cash budget
team leadership

حسابات مواقع التواصل الاجتماعي

الموقع الشخصي
الموقع الشخصي

لقد تم حذف الرابط بسبب انتهاكه لسياسة الموقع. يرجى التواصل مع قسم الدعم لمزيد من المعلومات.

اللغات

العربية
متمرّس
الانجليزية
متمرّس
الاسبانية
متمرّس

التدريب و الشهادات

Working Capital Management (الشهادة)
تاريخ الدورة:
January 2021
Working Capital Management (الشهادة)
تاريخ الدورة:
January 2021

الهوايات

  • Football
  • Reading
  • السباحة
    شهادة تقدير من نادى الكشافه البحريه