Taille maximale du fichier téléchargé: 3MO Types de fichiers autorisés: jpg, jpeg, gif uniquement

Click BROWSE button , select a photo , then click Save your photo
Les directives
  1. Téléchargez une photo de vous-même seulement.
  2. Les photos des enfants, des célébrités, des animaux ou des personnages de dessins animés seront refusées.
  3. Les photos qui contiennent de la nudité, de la violence, ou des thèmes de haine sont interdites et peuvent aboutir à l\'annulation de votre compte.
  4. Les photos de votre passeport, de votre carte d\'identité ou les photos contenant des informations personnelles telles que votre adresse, numéro de passeport ou vos coordonnées seront interdites pour votre propre sécurité.

Supprimer Les directives

Amr Sayed Abd El-Halim Abd El-Rehim

Finance & Settlement Supervisor ( Assistant Manager ) At Samsung SDS

Lieu:
Egypte - Le Caire
Éducation:
Baccalauréat, Accounting
Expérience:
10 années, 9 mois

Expériences professionnelles

Quelle est votre expérience professionnelle? Celle-ci est l’une des sections les plus importantes de votre CV.
Indiquez vos fonctions, compétences, projets et réalisations dans chaque rôle professionnel. Si vous êtes un nouveau diplômé, vous pouvez ajouter vos activités de bénévolat ou les stages que vous avez faits.
Ajouter Expérience

Total des années d'expérience:  10 Années, 9 Mois   

octobre 2020 A février 2021

Finance & Settlement Supervisor ( Assistant Manager ) At Samsung SDS

à Samsung SDS
Lieu : Egypte - Le Caire
Finance & Settlement Supervisor ( Assistant Manager ) From Oct 2020 To Feb 2021
Responsibilities :
- Work closely with a team of accountants to manage financial functions, including accounts
payable/receivable, bank reconciliations and tax audits.
- Monitor the daily performance and transactions of the finance department.
- Support existing team and the Director of Finance and Administration in day to day finance
operations and accounting and reporting matters.
- Oversee the timely preparation review and approval of all weekly payments to vendors including
payments to shipping lines and other service providers.
- Monthly balance confirmation with customers and vendors
- Review intercompany transactions with all related parties
- Month end closing reports (Balance sheet, Income statement, cash flow, risk management, VAT
and WHT, Budgets).
novembre 2017 A mai 2020

Order To Cash Supervisor

à Panalpina World Transport Egypt.
Lieu : Egypte - Le Caire
order to minimize open balances from customers and potential losses.
- Responsible for entire OTC process and departmental functions such as Credit
administration, collections, cash application processes, AR related management reporting.
- Implement strategies in the OTC processes to reduce company DSO and Bad Debts.
- Responsibility of the country’s collection from customers.
-Do the necessary allocations and clearing for all customers’ payments or advances
- Managing collections and disputes for country major customers and projects accounts.
- Main country contact towards the Financial Shared Services Center (FSSC) for collections
and bookings and Point of escalation for FSSC issues
- Maintain Monthly bank reconciliation and clearing of bank transit accounts.
- Assist in cash flow management and banks accounts.
- Managing A/R monthly closing activities
avril 2016 A octobre 2017

Senior Accountant

à Polaris International Industrial Parks
Lieu : Egypte
Maintain up-to-date billing system.
* Follow up on, collect and allocate payments.
* Carry out billing, collection and reporting activities according to specific deadlines.
* perform account reconciliations
* Recording all cash expenses.
* monitor customer account details for non-payments, delayed payments and other irregularities
* research and resolve payment discrepancies
* generate age analysis
* review AR aging to ensure compliance
* maintain accounts receivable customer files and records
* follow established procedures for processing receipts, cash etc
* prepare bank deposits
* communicate with customers via phone, email, mail or personally
* Assist with month end closing.
avril 2014 A mars 2016

A/R Accountant

à TNT Express Worldwide
Lieu : Egypte - Le Caire
Organize, support and develop accounts receivable process
* Organize, support and develop cash & collection process in collaboration with credit and
operation department.
* Checking Daily bank deposits with Receipts for cash & checks received and to be sure that
all collected cash amounts and checks deposited on our bank accounts.
* Check customers bank transfers and customers deposits through bank statement and send it to
all credit controllers and follow up with them to clear all unidentified receipts.
* Apply cash allocation to customer accounts through the SAP
* Ensure no “parked-not posted” entries on SAP daily
* Posting the Postdated Checks on SAP and follow it until it collected on daily basis.
* Making the ledger maintenance (LMT) for Customer Accounts on Monthly basis.
* Receive return checks from our banks and post them on customers’ accounts to be able to
collect it with our credit department.
* Follow up with credit department to collect customers return checks upon company policies.
* Make Journal entries through Sap for all miscellanies revenue, settlements.
* Calculate agent’s commission.
* Accounts Receivable month end closing.
4. EastMed Shipping S.A.E. "As
mai 2012 A avril 2014

Accountant

à EastMed Shipping S.A.E. "As agent of ZIM integrated shipping services Ltd".
Lieu : Egypte - Le Caire
Prepares weekly receivable report & manage clients’ credit limit.
 Updates accounts receivable ledger by customer payments, prepare monthly Profit by clients.
 Proactively identify and resolve problem accounts
 Registering all financial data on the Accounting system (IST ERP)
 Contact with customers by phone, mail and visits to arrange payment schedule and to review
the terms of sales, service, or credit contracts.
 Manage All Treasury Transactions “receiving, depositing and withdrawals”
 Prepares Monthly treasury report for branch accounts ( Income, Expenses, Deposits )
 Manage all branch’accounting activities and tracking of all accounts. Prepare, analyze and
interpret accounting records.
 Month end closing.

Éducation

Quel est votre niveau de formation?
Permettez aux employeurs de savoir plus concernant votre éducation. Soyez clair et concis.
mai 2010

Baccalauréat, Accounting

à Benha University
Lieu : Egypte - Banha
Moyenne générale: Bien
Faculty of commerce, English Section, Accounting Department

Specialities & Skills

MS Office Automation

Service à la clientèle

Comptabilité

TREASURY

ACCOUNTS PAYABLE

ACCOUNTANCY

ACCOUNTS RECEIVABLE

SAP User

team management

accounting

reconciliation

teamwork

Gestion de l'équipe

Langues

Parlez-vous plus d\'une langue?
Dans certaines professions, la maîtrise d'une ou de plusieurs langues étrangères est un plus ; il faut donc ajouter vos compétences linguistiques pour obtenir de meilleurs résultats.

Arabe

Expert

Anglais

Expert

Formations et Certificats

Summer Training ( Formation )

National Bank Of Egypt:
July 2007

Summer Training ( Formation )

Bank Of Alexandria
August 2008

Summer Training ( Formation )

Bank Of Alexandria
September 2009

Summer Training ( Formation )

CO-OP Petroleum
August 2008

General Accounting ( Certificat )

ICDL ( Certificat )

HR And Customer Service Workshop ( Certificat )

Time Management ( Certificat )

Export Control ( Certificat )

Chargement
Chargement...
Chargement...