CFO
Hanidroob Est.
Total des années d'expérience :24 years, 9 Mois
Conducting financial services, setup financial systems, and internal audit services for the client, including training the clients' internal audit staff, conducting feasibility study. Supervise merger with other org
• Conducting Financial HR and management services, feasibility studies, implementing ERP Systems, and internal audit services for the client, including training the clients' internal audit staff, Financial and purchasing and warehouses manuals, Supervising the development of the manual to prepare the estimated budgets and adjust the process of preparing the operational budget and the budget of capital and cash flow balance and adoption.
• Supervising and directing the preparation and issuance of periodic reports and financial statements of the company.
• Evaluate the future financial risks and prepare steps to avoid them and follow up on their implementation.
Conducting financial services, setup financial systems, and internal audit services for the client, including training the clients' internal audit staff, conducting feasibility study.
Execute the following training programs:
• Training Of Accountants.
• Training Financial Managers.
• Financial skills for non Financial managers.
• Training on Income and Sales Tax.
• Financial Analysis.
• Letter of Credit (LC's).
• Financial statements analysis.
• Modern approaches in internal auditing.
• Budgets.
• Management Accounting.
• Writing & Preparing Financial Reports.
• Preparation of Financial Statements by using Excel spreadsheets.
• Financial Accounting.
• Management Accounting.
• Advanced Accounting.
• Auditing
Control group activities, implement new accounting system, supervise and
Provide training for finance staff and other staff, budget and rolling forecast with monthly reviewed, Handling all the required group reports (monthly, quarterly, half yearly and yearly), making comments regarding actual results Vs Budget and forecast.
Feasibility study for new business and new projects. Reporting to MD and board.
Share in setup strategy and vision for the group. Training of accounting staff. Handling all communications related to the group internally and externally. Conducting internal audit for subsidiaries companies quarterly. Updating and monitoring of cash flow analysis. Preparing year-end financial statement and follow up with auditors. Financial reporting and consolidation for multiple entities. Responsible of dealing with Banks and asking for Loans, and handling all Banks accounts. Follow up and handling of income Tax and Sales tax issues.
Implement New accounting, Costing and administrative system, Sharing in modifying
& Organizing manufacturing and inventory planning system. In addition to monthly reports. Support investigating of alternative raw material sources.
Follow up and handling of income Tax and Sales tax issues. Responsible of dealing with Banks and asking for Loans, and handling all Banks accounts. Preparing year-end financial statement and follow up with auditors.
- Manage, analyze and ensure all financial controls (both internal and external), revenue targets, profits and taking corrective actions on spot to guarantee alignment with the company's business and strategic objectives.
Handling all the required group reports (monthly, quarterly, half yearly and yearly), making comments regarding actual results Vs Budget and forecast. Making Profitability for various divisions and other business units. Responsible of dealing with Banks and asking for Loans, and handling all Banks accounts.
Manage Asset growth and minimize risk exposure of all activities.
Updating and monitoring of cash flow analysis. Preparing year-end financial statement and follow up with auditors.
Follow up and handling of income Tax and Sales tax issues.
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