Tamer Nassif, Executive Director

Tamer Nassif

Executive Director

Outsource Accounting Services FZE

Location
United Arab Emirates - Fujairah
Education
Master's degree, Finance
Experience
27 years, 5 Months

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Work Experience

Total years of experience :27 years, 5 Months

Executive Director at Outsource Accounting Services FZE
  • United Arab Emirates - Fujairah
  • My current job since January 2018

• Ensure ongoing work flow excellence, and consistent quality of finance and administration, Communications, and systems; recommend timelines and resources needed to achieve company Strategic goals, and regularly evaluate work progress.
• Use external presence and relationships to garner new business opportunities & customers.
• Deepen and refine all aspects of communications—from web presence to external relations with
The goal of creating a stronger company brand.
• Lead, coach, develop, and retain high-performance senior management team.

Executive Director at Outsource Accounting Services FZE
  • United Arab Emirates - Fujairah
  • My current job since January 2018

• Ensure ongoing work flow excellence, and consistent quality of finance and administration, Communications, and systems; recommend timelines and resources needed to achieve company Strategic goals, and regularly evaluate work progress.
• Use external presence and relationships to garner new business opportunities & customers.
• Deepen and refine all aspects of communications—from web presence to external relations with
The goal of creating a stronger company brand.
• Lead, coach, develop, and retain high-performance senior management team.

finance business partner at Egyptian pyramids general trading LLC
  • United Arab Emirates - Dubai
  • February 2015 to January 2018
Finance Manager at AL shafar General Contracting
  • United Arab Emirates - Dubai
  • March 2014 to February 2015
Finance Manager at Ascom Emirates For Mining
  • United Arab Emirates - Abu Dhabi
  • October 1996 to December 2013

Manage financial planning, budgeting and cost analysis; implement cost control measures and liaise with bankers and auditors.
Generate financial models for cash flow management.
Hands on experience in consolidating financial statement and other management reports and handling complete books of accounts independently up to completion with zero error tolerance.
Analyze business operations, trends, costs, revenues, financial commitments, and obligations as well as new ventures, to project future revenues and expenses or to provide any other advice.
Implement financial procedures, including cash cycle management, internal financial controls, and costing.
Competent in directing operational and financial audits that summarizes the organization's financial position; manage audit and tax related issues.
Develop financial forecast for capital budgeting, accounts receivables, payables, cost accounting systems-procedures, fixed assets ledger and capital expenditure.
Summarize and forecast company’s business activities and financial position in the area of income, expenses and earn based on past, present and expected operations.

Education

Master's degree, Finance
  • at University of Atlanta
  • November 2012

Specialties & Skills

Accounting
Capital
Planning
Ventures
feasibility studies and variance cost analysis

Languages

English
Expert

Training and Certifications

CMA (Training)
Training Institute:
Institute of management accountants
Date Attended:
May 2005