كلما زادت طلبات التقديم التي ترسلينها، زادت فرصك في الحصول على وظيفة!

إليك لمحة عن معدل نشاط الباحثات عن عمل خلال الشهر الماضي:

عدد الفرص التي تم تصفحها

عدد الطلبات التي تم تقديمها

استمري في التصفح والتقديم لزيادة فرصك في الحصول على وظيفة!

هل تبحثين عن جهات توظيف لها سجل مثبت في دعم وتمكين النساء؟

اضغطي هنا لاكتشاف الفرص المتاحة الآن!
نُقدّر رأيكِ

ندعوكِ للمشاركة في استطلاع مصمّم لمساعدة الباحثين على فهم أفضل الطرق لربط الباحثات عن عمل بالوظائف التي يبحثن عنها.

هل ترغبين في المشاركة؟

في حال تم اختياركِ، سنتواصل معكِ عبر البريد الإلكتروني لتزويدكِ بالتفاصيل والتعليمات الخاصة بالمشاركة.

ستحصلين على مبلغ 7 دولارات مقابل إجابتك على الاستطلاع.


تم إلغاء حظر المستخدم بنجاح
سارة الغمراوي, Financial controller/ Treasury Manager

سارة الغمراوي

Financial controller/ Treasury Manager ·SENAAT- General Holding Corporations

الإمارات العربية المتحدة

دبلوم,

الخبرة العملية

مجموع سنوات الخبرة: 21 سنوات, 7 أشهر

Financial controller/ Treasury Manager

يناير 2013 - حتى الآن

SENAAT- General Holding Corporations

أبو ظبي، الإمارات العربية المتحدة

يناير 2013 - حتى الآن

Acted as financial controller, whereby I was mandated to set up accounting and finance dept for one of our newly established entities( specializes in manufacturing oil and gas pipes ), my role involved :
1) Designing the chart of accounts
2) Implementation of new ERP system
3) Develop and design dleegation of Authority
4) Negotiated with banks to establish working capital facilities for the company .
5) Managed cashflow
As Treasury Manager at SENAAT, my role involved :
• Raised long term financing for USD 250 million Joint Venture through Japanese ECA
• Dealt directly with credit agencies when issuing SENAAT’s first credit rating
• Co-managed the debut issuance of SENAAT’s USD 300 million Sukuk
• Refinanced revolving credit facilities to ensure liquidity to support the company’s operations and growth plans
• Worked closely with a team of financial advisors on valuing the company for a potential IPO
• Part of task force that worked closely with international financial advisors to prepare bankability report for several major industrial projects
Daily job responsibilities include:

• Forecasting cash flow, managing any excess cash and ensuring adequate liquidity available
• Managing all debt servicing activities and ensuring debt compliance
• Managing the relationship with the banks, negotiating credit facilities, updating bank mandate
• Coordinating with credit agencies for their annual review, ensuring all required reports are updated
• Coordinating with the Internal Audit/ External Audit/ Statutory Compliance team and providing required documents for completion of the internal audit/ external audit/ statutory compliance checks/ programs
• Assist subsidiaries under development raise finance by negotiating with banks and structuring the deal, coordinating with Legal Dept regarding documentation
• Working closely with the investor relations department, providing rigorous financial analysis, as and when required in coordination with Investor Relations department
• Preparing periodic treasury reports to senior management and ad hoc reports requested from key stakeholders (including DMO, GSEC)
• Carrying out SENAAT’s risk management policy through interest rate and foreign exchange hedging programs, executions of IRS’s and other derivative products

مجال الشركة:
الإنتاج الصناعي
الدور الوظيفي:
التمويل والإستثمار

Senior Budgeting & Reporting Analyst

يناير 2012 - ديسمبر 2012

Abu Dhabi Basic Industries - Senaat

أبو ظبي، الإمارات العربية المتحدة

يناير 2012 - ديسمبر 2012

•Ensuring compliance of Senaat and subsidiaries to budget policies and procedures
•Analyzing trend movements in subsidiaries on a quarterly basis
•Consolidating and developing GHC’s financial plan and forecasting financial performance
•Preparing presentation for the Board of Directors and developing management information reports
•Measuring financial KPI’s against target and analyzing variances and profitability trends
•I have also been assigned to assist the treasury manager day to day work, and currently i'm responsible for maintaining cashflow forecast

مجال الشركة:
الإدارة العامة
الدور الوظيفي:
المحاسبة والتدقيق

Senior Accountant

فبراير 2010 - ديسمبر 2011

Abu Dhabi Basic Industries ADBIC

أبو ظبي، الإمارات العربية المتحدة

فبراير 2010 - ديسمبر 2011

•Assisting in preparation and consolidation of budgets for accurate and timely submission of business plan.
•Preparing monthly management accounts and analysing balance sheet and income statement.
•Compiling data for the audit team & and co-ordinating with them, providing all requested information in a timely manner & reviewing statutory accounts.
•Consolidating financial data, including eliminating entries to report to Parent company.
•Preparing Actual vs. Budget reports for management presentation
•Supervising and assisting in month closing procedures, reviewing reconciliations of general ledger accounts, fixed asset register, accruals, prepayments and bank reconciliation.
•Reviewing all cash & bank records, payable accounts, and invoices.
•Preparing and processing payroll for payment, calculating pension for UAE nationals, checking all staff related costs.
•Supervising and reviewing the work of the accountant and provide guidance and advice on day to day operational issues
•Enhancing the reports generated from the accounting software
•Worked closely with the finance manager to design new forms to meet corporate governance requirements.

مجال الشركة:
الإدارة العامة
الدور الوظيفي:
المحاسبة والتدقيق

Senior associate

نوفمبر 2004 - فبراير 2010

KPMG

أبو ظبي، الإمارات العربية المتحدة

نوفمبر 2004 - فبراير 2010

•Performing audit on financial statements in accordance with International Standards on Auditing (ISAs); preparing audit plans & strategies; examining internal controls and identifying areas of weaknesses.
•Preparing financial statements, analyzing complex accounting and reporting issues and consulting with the client on appropriate treatments in accordance with International Financial Reporting Standards (IFRSs).
•Effectively managing the audit process with appropriate consideration of audit risk issues and accounting technical matters.
•Identifying areas requiring improvement in the clients’ business processes and possible recommendations and preparing and delivering Management Letters to be provided to the clients.
•Coaching other less experienced staff through sharing experience and knowledge appropriately
•Applying a solution-based approach to problem solving, referred to for research on delivery of solutions in that field on client assignments.
Below listed are some of the assignments I was involved in:
 Audit engagements in the following sectors (in-charge):
 Financial Services: Arab African International Bank, The National Investor PrJSC investment funds (UAE Blue Chip Fund, MENA Real Estate Active Fund and UAE Dana Women Fund), Union Brokerage Company, Emirates Securities and Commodities Authority.
 Manfacturing: Grandmills for flour and feed factory (Subsidiary of Agthia PJSC group, AlFoah Company LLC, Abu Dhabi Vegetable Oil Company LLC
 Government : General secretariat of the cabinet (Ministry of Cabinet affairs),
 Real Estate: Al Hail Properties.
 Media: Emirates Media Incorporation, United printing and publishing

مجال الشركة:
المحاسبة
الدور الوظيفي:
المحاسبة والتدقيق

التعليم

CPA (Certified Public Accountant from California Board of Accountancy

مايو 2008

مايو 2008

دبلوم،

الولايات المتحدة

ain shams university

يونيو 2003

يونيو 2003

بكالوريوس، B.Com accounting

مصر

Skills

Reporting
Expert
Reporting
Expert
Cash Flow Management
Expert
Cash Flow Management
Expert
Budgeting
Expert
Budgeting
Expert
Treasury Management
Expert
Treasury Management
Expert
International Standards
Expert
International Standards
Expert
Excel
Expert
Excel
Expert
Reporting
Expert
Reporting
Expert
Cash Flow Management
Expert
Cash Flow Management
Expert
Budgeting
Expert
Budgeting
Expert
Treasury Management
Expert
Treasury Management
Expert
International Standards
Expert
International Standards
Expert

اللغات

العربية
متمرّس
الانجليزية
متمرّس

التدريب و الشهادات

التدريب
Cash management and forecasting
ACT- Association of Corporate Treasurers
Nov 2012

الهوايات

  • Travelling & Playing Piano