Experiences
Finance and Accounts Manager
MEP Constructions (Mechanical Electrical Package) Cairo, Egypt (08/2018 – Present)
- Planed, organized, and executed financial tasks and projects of the organization.
- Made estimates of funds required for the short and long-term financial objectives of the company.
- Completed financial reports, lead the month-end closing process and conducted monthly financial forecast.
- Strategized on fund procurement through banks and other financial institutions.
- Provided financial insight and analysis to drive the business performance of the organization.
- Managed and monitored metrics, KPI tracking, and reports.
- Evaluated the financial performance of the organization and measured returns on investments.
- Calculated the risks involved in the financial activities of the organization.
- Overseen the overall corporate budgeting preparation, management and monitoring processes.
- Performed financial analysis, reporting and management activities.
- Reviewed financial data for accuracy, correctness and completeness.
- Ensured that the financial team follows company policies and regulations.
- Developed standard accounting procedures to improve financial operations efficiency.
- Managed all fundraising and cash flow files, in addition to all communications between the company and banks.
- Analyzed costs, pricing, variable contributions, sales results and the company’s actual performance compared to the business plans.
- Provided financial reports and interpret financial information to managerial staff while recommending further courses of action.
Finance Manager
Arabtec Construction LLC – Egypt Branch Cairo, Egypt (04/2011 - 06/2018)
- Planed and directed accounting activities within the Finance department by performing the following duties.
- Assisted in the development and implementation of goals, policies, priorities, and procedures relating to financial management, budget, accounting, and payroll
- Supervised and participated in the preparation of various financial statements and reports.
- Established system controls for new financial systems and developed procedures to improve existing systems.
- Coordinated preparation of external audit materials and external financial reporting.
- Reviewed financial statements with management personnel.
- Undertaken strategic analysis and assisted with strategic planning
- Controlled income, cash flow and expenditure
- Provided financial reports and interpreted financial information to managerial staff while recommending further courses of action.
- Maintained the financial health of the organization.
Accounting Manager
Real Estate Solutions Dubai, UAE (06/2008 - 03/2011)
- Obtained and maintained a thorough understanding of the financial reporting and general ledger structure.
- Ensured an accurate and timely monthly, quarterly and year-end close.
- Assisted the Controller in the daily banking requirements.
- Ensured the monthly and quarterly Bank Compliance activities are performed in a timely and accurate manner.
- Monitored and analyzed department work to develop more efficient procedures and use of resources while maintaining a high level of accuracy.
- Worked with the Controller to ensure a clean and timely year-end audit.
- Supervised the general ledger group to ensure all financial reporting deadlines are met.
Chief Accountant
Abdulla Al Zarouni General trading Sharjah, UAE (07/2006 - 05/2008)
- Managed and overseen the daily operations of the accounting department including:
- A month and end-year process
- Accounts payable/receivable, Cash receipts, General ledger, Payroll and utilities
- Treasury, budgeting, Cash forecasting, Revenue and expenditure variance analysis
- Established and enforced proper accounting methods, policies and principles
- Coordinated and completed annual audits.
- Improved systems and procedures and initiated corrective actions
Senior payable Accountant The Arab Contractors Ismailia, Egypt (08/1997 - 05/2006)
- Reviewed and approved Accounts payable.
- Ensured the accuracy of general ledger.
- Produced reliable and timely account statement reconciliations.
Established and maintained fiscal files and records to document transactions