general finance manager
Scape Restaurant & Lounge - Burj Al Arab
Total years of experience :20 years, 0 Months
Professional FinanceManager
Finance Manager &Strategic Finance business Partner with a
diversified experience for more than 16 years at various fields
in Finance functions, of which 10 are in a leader positions at
Manufacturing&Trading companies. Where maximize profits,
and Implementing the strategy for the company.
Acting as CFO, Strategic Finance Business Partner of BU (5 Plastic Factories
PIPE .PALLET, ROTO. AGRIFILM. RECYCLE )
TASNEE - TALDEEN Plastic Solutions Complex -HAIL
• Provide critical financial and operational information and make actionable recommendation to the management.
• Prepare Monthly profit and loss statement by division (Actual vs. Budget).
• Provide feasibility study for investment opportunities with highlights on returns and risks.
• Evaluate departments and make suggestions for processes and increasing working efficiency.
• Prepare of monthly and annually financial statements.
• Review all month- end closing including G/L, AP, AR, FA and overhead cost allocation.
• Manage preparation and support of external Auditor requirements.
• Supervise Account receivable and provide guidance to the collection process.
• Preparation of the financial statements for the company and its subsidiaries.
• Analyze Costs, Pricing, margins, sales results and the company’s actual performance compared to business plans.
• Plays a significant role in the effective running of the Group.
Main Responsibilities:
• Preparation of Financial Statements in accordance with GAAP, coordinate annual statutory audit.
• Maintained books of accounts on ERP(ORACLE R12 )system
• Control of Budgets and expenses related to each dept.
• Prepare monthly managements reports including, “Budget vs. Actual’ ’variance.
.Main Responsibilities:
• Worked as Cost Accountant, Chief Accountant and Acting Finance Manager.
• Promoted three times .
• Provide costing reports(Operations, products and pricing)
• Prepare monthly, quarterly and annually financial statements.
• Banking Transactions and daily cash management.
- • Posting of invoices to the correct cost center.
• Reconcile Vendor statement.
• Prepare weekly petty cash statement.
• Prepare stock reconciliation and inventory valuation reports.
CMA US
Bachelor of Commerce (Finance and Accounting)