Mohamed Elshennawy, Chief Accountant

Mohamed Elshennawy

Chief Accountant

Almansour for trading and distribution company

Lieu
Egypte - Alexandrie
Éducation
Baccalauréat, Accounting
Expérience
20 years, 5 Mois

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Expériences professionnelles

Total des années d'expérience :20 years, 5 Mois

Chief Accountant à Almansour for trading and distribution company
  • Egypte - Alexandrie
  • Je travaille ici depuis janvier 2014

1- Prepare monthly trial balance report.
2- Make a monthly P & L (profit and loss report)
3- Make a P & L and income statement every quarter.
4- Prepare the Balance Sheet & budget.
5- Make taxes reports.
6- Bank reconciliation adjusting.
- Control the expenses and the cash movement.
2- Prepare a report to analyses the factory expenses during the month and divided it to many sections according to the cost center and the kind of the expense.
3- Make a comparing between the expenses year to date and period to date and explain the reasons of the increase and the decrease

Senior Accountant à Almansour for trading and distribution Co
  • Egypte - Alexandrie
  • janvier 2010 à décembre 2013

Responsible all cash payment and the cash boxes balance in all branches
o Register the daily receivables transactions.
o Register the daily Cash receipts payment transactions.
o Analyses receivables accounts past due.
o Bank reconciliation adjusting.
o Responsible for the monthly & annually depreciations expenses for all fixed assets.
o Accountant's guidance of accounts and records.
o Responsible for the monthly & annually depreciation expenses for all fixed assets.
o Responsible for the annual budget for fixed assets & report it to general manager.
o Follow up the import & export Account.
o Employees' loan and prepayments.
o Prepare the Balance Sheet, Financial Statement & budget.
o Responsible for defining and train the new user to use the new accounting system “oracle application & sap fico application in AP module”.
o preparing the job description and securities on the accounting system

General Accountant à Almansour for trading and distribution Co
  • Egypte - Alexandrie
  • janvier 2007 à novembre 2009

o Prepare all accounting journal entries.
o Analyze accounts to make sure all transactions are recorded accurately
o Review of the supplier payments and following up their balances and making a review of the cash voucher.
o Responsible all cash payment and the cash boxes balance in all branches
o Register the daily receivables transactions.
o Register the daily Cash receipts payment transactions.
o Analyses receivables accounts past due.

Cost Accountant à Almansour for trading and distribution Co
  • Egypte - Alexandrie
  • juillet 2004 à novembre 2006

o Audit and register the daily and period production reports for factories.
o Compare between the standard usage and the actual usage for the factories.
o Report the variance and the wasting of cost ratios.
o Pricing the row materials & Packing materials, which used in the final Productions.
o Prepare the costs statements.
o Prepare the profit & loss statement for the factories.
o Recording of warehouse transactions (Receiving, releasing…etc) on a timely basis.
o Maintain perpetual inventories, and reconcile to the General ledger.
o Monitor of all quantity adjustments by warehouse Operations.
o Maintain all cost adjustments.
o Maintain all Moving Average
o Inventory- costing records.
o Year end stock taking procedures and Physical counting reconciliation and adjustments.
o Audit and register the daily and period production reports for factories.

Accountant à Al Ahram Engineering Works/LTD
  • Egypte - Alexandrie
  • octobre 2003 à juin 2004

o Book keeping&prepare all accounting journal entries.
o Make entries into ledgers and interpret financial records.
o Analyses accounts to make sure all transactions are recorded accurately.
o Responsible all cash payment and the cash boxes balance in all branches
o Register the daily receivables transactions.
o Register the daily Cash receipts payment transactions.
o Analyses receivables accounts past due.
o Bank reconciliation adjusting.
o Responsible for the monthly & annually depreciations expenses for all fixed assets.
o Prepares Trial Balance & Financial Statements.

Éducation

Baccalauréat, Accounting
  • à Faculty of commerce
  • mai 2003

Accounting - Economy - Management - Financial Analyses

Specialties & Skills

Financial Accounting
Auditing
Oracle Financials
Fixed Assets
Ms Excel
Bank Reconciliation
ERP ( SAP ) ( FI-CO )
Treasuary
Trial Balance
Microsoft Applications
Fixed Assets
Cost Accounting
General Accounting
Financial Statements
ERP (ORACLE Financial"11I") (GL, AP )

Langues

Anglais
Expert
Arabe
Expert

Formation et Diplômes

(Certificat)
Date de la formation:
November 2003
International Computer Driving License - ICDL Certificate (Certificat)
Date de la formation:
July 2007
Valide jusqu'à:
November 2007

Loisirs

  • tenis table
    won a cup in an internal champion in my company