Mostafa Akl, Treasury Manager - Egypt & UAE

Mostafa Akl

Treasury Manager - Egypt & UAE

CEMEX

البلد
مصر - القاهرة
التعليم
بكالوريوس, Accounting
الخبرات
19 years, 6 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :19 years, 6 أشهر

Treasury Manager - Egypt & UAE في CEMEX
  • مصر - القاهرة
  • أشغل هذه الوظيفة منذ أغسطس 2011

• Cash Management
(Coordinating with different areas and reporting customer collected checks on daily basis - Reporting daily positions withheld at financial institutions - Monitoring the company’s available cash & over draft balances in an efficient/effective way in order to minimize financing cost and bank charges - Responsible for cash management transactions to insure the liquidity needed to meet obligations - Responsible for following up on payments to suppliers and ensuring that they are done on time - FX monitoring)
• Banking Relationship
(Maintainnig good relationship with financial institutions - Preparing any correspondence/instructions to banks, filing daily statements & correspondences - Negotiating lines and prices of bank facilities)
• Trade Instruments & Leases
(Responsible to handle more than 60 LGs and LCs as for issuance, conditions, expiry, amendments, charges, etc. - Responsible to bring lease offers, finalize the lease agreement with the lessor and monitor the lease terms)
• Working Capital
(In cooperation with other departments, responsible to find Finance solutions to improve the Working Capital with respect to A/R, Inventory and A/P)
• Reporting
(Daily cash position reports - Weekly cash flow forecasts - Monthly reports including Cash Balances, OD, Working Capital Movements, Leases, LGs, LCs, Bank Charges, etc.)

Treasury Manager في CEMEX
  • الإمارات العربية المتحدة - دبي
  • نوفمبر 2007 إلى أغسطس 2011

• Cash Management
(Coordinating with different areas and reporting customer collected checks on daily basis - Reporting daily positions withheld at financial institutions - Monitoring the company’s available cash & over draft balances in an efficient/effective way in order to minimize financing cost and bank charges - Responsible for cash management transactions to insure the liquidity needed to meet obligations - Responsible for following up on payments to suppliers and ensuring that they are done on time - FX monitoring)
• Banking Relationship
(Maintainnig good relationship with financial institutions - Preparing any correspondence/instructions to banks, filing daily statements & correspondences - Negotiating lines and prices of bank facilities)
• Trade Instruments & Leases
(Responsible to handle more than 60 LGs and LCs as for issuance, conditions, expiry, amendments, charges, etc. - Responsible to bring lease offers, finalize the lease agreement with the lessor and monitor the lease terms)
• Working Capital
(In cooperation with other departments, responsible to find Finance solutions to improve the Working Capital with respect to A/R, Inventory and A/P)
• Reporting
(Daily cash position reports - Weekly cash flow forecasts - Monthly reports including Cash Balances, OD, Working Capital Movements, Leases, LGs, LCs, Bank Charges, etc.)

Senior Accountant في Johnson & Johnson
  • مصر - القاهرة
  • يوليو 2006 إلى أكتوبر 2007

• Booking all received invoices (foreign suppliers, some local suppliers, and affiliates)
• Processing payments (checks, transfers, dealing with internet banking)
• Inter-company confirmations on a monthly basis and settlement of disputes if any and handling the Cross Charging process.
• End of month required A/P & Inter-Company reporting.
• Preparing and booking of accrual entry and revaluation of open foreign balances.
• Preparing, booking, and reviewing the Amortization of Prepaid Expenses and the Depreciation of Fixed Assets.
• Focus person in the Finance Dept. for solving system (J.D. Edwards) issues with the system support consultant.
• Assisting the accounting manager in monthly closing by reviewing some TB accounts.

A/R Accountant في Raya
  • مصر - القاهرة
  • نوفمبر 2004 إلى يوليو 2006

Booking all the A/R collections and its adjustments (W.taxes, Stamps, Retention, etc.)
• End of month reports required for closing (Aging, Customer Down Payments, Foreign currency effect analysis)
• Confirmations on A/R balances for at least 10 customers monthly and resolving disputes
• Previously responsible for the Cost Update process which has to do with updating the cost of inventory by freight, clearance, and all related expenses
• Previously responsible for the Bank Reconciliation

الخلفية التعليمية

بكالوريوس, Accounting
  • في Ain Shams University
  • يونيو 2004

Specialties & Skills

Letters Of Credit
Cash Flow Forecasting
Working Capital Management
Banking Relationships
Cash Management
TREMA Treasury Management Systems
Microsoft Office
JD Edwards ERP
Leadership, Manage Team, Time Management, Multi tasking, Stress Management, Team Projects, Deadlines
Oracle Financials

اللغات

العربية
متمرّس
الانجليزية
متمرّس
الاسبانية
مبتدئ
الالمانية
مبتدئ