Chief Accountant
مركز الخليجي الدولي لاثاث و المفروشات
Total years of experience :17 years, 6 Months
Supervising the daily financial operation
- Monitoring the Branch inventory control process, costing and cost
Allocation.
- Managing and directing the preparation of the operating & cash
Budgets and reporting deviations from budgets.
- Supervising the Branch transactions with banks and monitoring the
Facilities provided through banks.
- Managing the cash flow to ensure that it is well controlled and that
The finance is available as budgeted.
-Directing the preparation of/ Preparing regular and irregular reports
To CFO of the Group.
- Implementing and improving the existing controls and initiating the
Necessary controls for the Group.
-Preparation/supervising the preparation of full set of financial
Statements under IFRS for the Group.
- Following up the yearend audit of the financial statements till the
Issuance of the final set of financial statements.
- Monitoring the financial performance and the adherence to the
Policies set by the management
Supervising the daily financial operation
- Monitoring the Branch inventory control process, costing and cost
Allocation.
- Managing and directing the preparation of the operating & cash
Budgets and reporting deviations from budgets.
- Supervising the Branch transactions with banks and monitoring the
Facilities provided through banks.
- Managing the cash flow to ensure that it is well controlled and that
The finance is available as budgeted.
-Directing the preparation of/ Preparing regular and irregular reports
To CFO of the Group.
- Implementing and improving the existing controls and initiating the
Necessary controls for the Group.
-Preparation/supervising the preparation of full set of financial
Statements under IFRS for the Group.
- Following up the yearend audit of the financial statements till the
Issuance of the final set of financial statements.
- Monitoring the financial performance and the adherence to the
Policies set by the management
Main Responsibilities
- Managing and directing the preparation of the operating & cash
budgets for the parent company and 12 subsidiaries "the Group" and
Suggesting correction actions for any deviations from budgets.
- Managing the cash flow to ensure that it is well controlled within the
Group and that the finance is available to the subsidiaries as budgeted.
-Directing the preparation of/ Preparing regular and irregular financial
Reports to the CEO and the CFO for the Group.
- Implementing and improving the existing controls and initiating the
Necessary controls for the Group.
-Preparation/supervising the preparation of (Consolidated and
Standalone) full set of financial statements under IFRS for the Group.
- Following up the yearend audit of the financial statements for the
Group till the issuance of the final set of financial statements.
- Monitoring the financial performance and the adherence to the
Standalone) full set of financial statements under IFRS for the Group.
- Following up the yearend audit of the financial statements for the
Group till the issuance of the final set of financial statements.
& Industry and Ministry of Social Affairs and Labor.
Training & other courses
Financial planning, performance, and control
Bachelor of Commerce Accounting Division University of Alexandriaria