
Abdelrahman Shokry Shokry
Accounting Manager at Arabian Group for Tech - E Marketing
Giza, Giza, EgyptWork Experience
Arabian Group for Tech - E Marketing
Egypt
- Job Details:Manage and oversee the daily operations of the accounting department including month and end-year process, cash receipts, payroll and utilities, revenue and expenditure variance analysis, capital assets reconciliations, fixed asset activity, accounts payable/receivable, general ledger, treasury, budgeting, cash forecasting, check runs, debt activity, monitor and analyze accounting data and produce financial reports or statements, establish and enforce proper accounting methods, policies and principles, coordinate and complete annual audits, provide recommendations, improve systems and procedures and initiate corrective actions, assign projects and direct staff to ensure compliance and accuracy, meet financial accounting objectives, campaign performance analysis (revenue vs. ads spend), establish and maintain financial reports and records to document transactions, work on Zoho Finance.
Omega Care for Healthcare Management
Egypt
- Job Details:Account reconciliation & financial analysis, billing & invoicing, cash flow management, aged receivables management, account adjustments & journal entries, regulatory compliance & insurance accounting, financial reporting & month-end close, audit preparation & documentation.
$.M.A for Distribution Company
Egypt
- Job Details:Verifying, allocating, posting and reconciling accounts payable, receivable and banking accounts. Producing error-free accounting reports and presenting their results. Analyzing financial information and summarizing financial status, spotting errors and suggesting ways to improve efficiency and spending. Managing accounting assistants and bookkeepers. Supervising inventory accounts.
Well Care for Healthcare Management
Egypt
- Job Details:Performing audits on financial data to assure its accuracy and truthfulness. Daily check of accounts and request details if necessary. Ensure inter-company reconciliation with other company’s entities. Entering financial data such as accruals, deferrals, reclassification, and interdepartmental entries into the ledger on a monthly basis, as well as preparing reports. Ensuring that financial information complies with professional and regulatory standards. Prepare starves reporting following the company’s calendar. Support AP, AR and treasury team if needed. Worked on Ibn Sina medical software, Elite medical software, Delta financial.
Education
Bachelor's Degree in Commerce
Cairo University (CU)Jan 2010 - Jan 2014 - 4 yr
Languages
English
Beginner