Mohamed Ahmed Magdy
**th of Ramadan city – Cairo – Egypt
AL Hassa ST. – Malaz – Riyadh – KSA
Saudi number +966-0535347209
Date of birth 26/09/1980 Nationality Egyptian
To seek an opportunity to join a reputed organization that would provide me the platform for career development, enhance my knowledge, help me polish my skills and shape myself for a successful career
Major Area of expertise
Accounts Payable & Treasury.
Accounts Receivable .
Inventory & Costing .
Financial accounting and reporting under GAAP & IFRS standards.
Business forecasting and budgeting.
Cross functional experience in FMCG and manufacturing businesses.
Strong organizational, administration, leadership, interpersonal and communication skills.
(Dec 2010 - Present)
Payable & Treasury Asst . Manager
PepsiCo (AL Jomaih Holding CO) / Riyadh – KSA
Assist in documenting and monitoring of internal controls while recommending changes in accounting systems and procedures where needed, and monitor compliance with internal controls policies and procedures.
Monitor P2P system performance, suggest and implement system improvements.
Prepare section reports in a timely and accurate manner to meet Company and department requirements, policies and standards.
Participate in the formulation and implementation of the accounting strategy to ensure the alignment with company’s strategy.
Participate and recommend improvements to finance & accounting policies, processes and procedures.
Supervise the day-to-day operations of the AP & banking accounting function providing guidance, encouraging teamwork and facilitating related professional work processes in order to achieve high performance standards
Liaise with internal and external parties at the appropriate levels to ensure smooth flow of interactions
Establish, coordinate and administer as an integral part of management, the necessary controls and procedures to effectuate the business objective
Manage the effective achievement of department objectives by setting individual targets, developing and motivating staff, providing of formal and informal feedback.
Perform other related duties or assignments as directed.
(May 2004 - Oct 2010)
(Greenland group) member of Americana international group - Egypt
Review AP journals to ensure :
Three way matching have occurred before invoices being paid for local vendors.
Proper approvals was obtained
Proper recording and classifying of all transactions before being transferred to GL.
Review journals to ensure proper recording before being transferred to the General Ledger.
Ensuring that invoices are paid on the due date to maintain a good relationship with the vendors.
Supervise the payment to vendors/ employees through:
Payment through HO.
Payment trough Expense cash vouchers.
Following up for discrepancies with local and foreign vendors in coordination with the Assistant Controller / or Procurement department.
Prepare accruals for all types of expenses to ensure accrual basis compliance.
Prepare ad hoc reports as requested by management / CFO.
Ensure proper documentation of all payments with proper follow up with all related concerned parties...procurement, inventory & warehouses.
Review all checks issuance's against original invoices and / or approved contracts and ensure proper follow up on all un-reconciled items.
Custodian of all checks ensuring proper documentation of checks received and delivered.
Supervising the role of handling all Internal & external Auditors points & understandings.
Provide management with business related issues.
Ensure properly re-impressments of petty cash & employees custody.
Proper supervision for employees’ loans & their deductions.
Supervise the preparation of cash & Banks reconciliations.
Inventory accounts supervision through system
Cost control supervision
(Sep 2002 - Apr 2004)
Middle East For dry Foods & Industries
Uses and implements the accounts payable Oracle module and other operating tools to maintain a smooth daily workflow of operations.
Ensures that expenses are paid in a timely manner and reports any problems with customer payments to avoid any increase in deferred payments.
Provides related information to pertaining departments to contribute in procurement effectiveness.
Provides assistance to A/P Supervisor in the preparation of accrued expenses to accurately calculate accrual basis compliance.
Supports the A/P Supervisor in reporting requirements that may be needed on a monthly basis such Actual Vs. Forecast reports to aid in the Financial decision making process.
Prepare payment ( cheques – remittance ) for the suppliers
Monthly reconciliation with all suppliers
Verify the accuracy of accounting documents or records
Monthly physical count
(Aug 2001 - Aug 2002)
GD Charted Accounting Office – Zigzag – Egypt
Follow the accounts of customers who deal with the office.
Prepare journal entries for customers on the office accounting program.
Follow-up to paying customers to identify customers who paid and who have not been paid.
Prepare monthly reports of achievement for each customer.
Making sudden inventories physical count for office customers
EDUCATION AND TRAINING
BSC Faculty Of Commerce (Accounting & Auditing Section)
ZAGAZIG University Year 2001
Diploma in (accounting& banking )
Diploma in excel ( using financial function)
Advanced English courses from AUC
Good communication skills gained through my experience as an financial
Organisational / managerial skills
Work under pressure.
Ability to lead a big team.
Good command of Microsoft Office™ tools
Professional User for Oracle EBS ERP System
Date Of Birth
Place Of Birth
29 SEP 1980