Hany Aldafrawy

Finance Manager at Zermatt Group Limited

Qatar | Engineering / Infrastructure / Construction / EPC

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Hany Farouq Aldfrawy

Mob. +974 33443242
Land Line : +974 44779217
E-Mail : HANYFALDFRAWY@GMAIL.COM


Career Profile

Financial Manager professional, having over 15 years of experience in managing financial reporting, consolidation and financial analysis process of firms, known for commitment to achieving high level of accuracy using ethical work standards, as well as strong organizational, analytical and interpersonal skills
Career Objective

I am seeking a position of finance manager, who can use his in-depth knowledge in finance and help the firm grow, while maintaining the financial and managerial procedures as per Finance& Accounting standards.


PERSONAL INFORMATION:

Date of Birth: 17/1/1974
Gender: (Male)
Marital Status: (married)
Nationality: EGYPTION
EDUCATION:
B.Sc in commerce, Faculty of commerce
Accounting department, Alexandria University – may 1998


PROFESSIONAL EXPERIENCE:
From 6-1-2014 TO Peresent
Occupation: Finance Manager
Company: Zermatt Group Limited (A Subsidiary of Ghanim Bin Saad ALsaad)
Group Holding (GSSG))
BUSINESS CATEGORY: Trading
Responsibilities & Roles:
1. Creates, maintains, and updates financial databases and spreadsheets, and generates various financial reports as required.
2. Build a financial system in all departments and branches through policies and procedures
3. Prepare the income statement and balance sheet (consolidated)
4. Prepare the annual budget and monthly comparison
5. Monitoring and interpreting cash flows and predicting future trends.
6. Prepare the cost analyses for the running projects compare with projects budget
7. Finalize bank facilities and follow up the projects finance.
8. Liaising with auditors to ensure annual monitoring is carried out

From 6-1-2013 Up 12-2014
Occupation: Finance Manager
Company: EUROPE QATAR PORR CONSTRACTION CO.
(EQCC – PORR CO.)
EQCC CO. (A Subsidiary of Ghanim Bin Saad ALsaad Group Holding (GSSG))
With PORR Beau Austria
BUSINESS CATEGORY: Construction (Metro Qatar - Green line)

Responsibilities & Roles:

1. Creates, maintains, and updates financial databases and spreadsheets, and generates various financial reports as required.
2. Build a financial system in all departments through policies and procedures
3. Prepare the income statement and balance sheet (consolidated)
4. Prepare the annual budget and monthly comparison
5. Monitoring and interpreting cash flows and predicting future trends.
6. Prepare the cost analyses for the running projects.
7. Finalize bank facilities and follow up the projects finance.
8. Liaising with auditors to ensure annual monitoring is carried out







From 15-1-2009 up to 15-12-2012
Occupation: - Finance Manager
Company: Talal trading & Constructing Co
BUSINESS CATEGORY: Construction
Responsibilities & Roles:

1-Providing and interpreting financial information;
2-Monitoring and interpreting cash flows and predicting future trends;
3-Analyzing change and advising accordingly;
4-Preparing Balance sheet, profit and loss statements and monthly closing and cost accounting reports.
5- Company cash flow & projects cash flow
6- Arranging new sources of finance for a company's debt facilities
7- Supervising staff
8- Managing budgets
9- Producing accurate financial reports to specific deadlines


From Dec 2005- until 31-12-2008
Occupation: - Finance Manager
AL-FADIL FOR TRADING &CONSTRUCTION CO.
BUSINESS CATEGORY: Construction, Excavation, Demolition, transportation
From Feb 2003 up to Nov 2005
Occupation –Accounts Manager
Company: Marina Trading Co.
BUSINESS CATEGORY: TRADING
Responsibilities & Roles:
1- Preparing Balance sheet, profit and loss statements and monthly closing and cost accounting reports.
2- Implementation of accounting and accounting control procedures
3- Preparation and handling of annual budgets and expenses control for annual budgets and cash flow
4- Bank reconciliation.
5- Arranging all of bank facilities such as "L/C, L/G".
6- Preparing all the reports for job costing
7- Company cash flow & projects cash flow
From .1998 Up to Jan 2003
EGYPT – ALEX
Occupation: seniorAccounatnt
Company: Green Line Shipping &Trading
BUSINESS CATEGORY: SHIPPING &NAVIGATION
Responsibilities & Roles:
1-Doing all daily transactions – via accounting package.
2-Keeping of all cash and bank payments - computerized.
3-Keeping of accounts payable - computerized.
4-Keeping of accounts receivable - computerized.
5-Keeping of cash and bank vouchers.
6- Preparing the statement of suppliers and clients.
7-Doing the daily transactions – via computer applications


KEY SKILLS AND COMPETENCIES:

• Ability to combine strong business acumen with effective management skills.
• Experience of consolidations and reporting.
• A sound understanding of the month end process.
• Ability to thrive within a fast-paced business environment.
• Organized with excellent attention to detail.
• Implementation of financial systems and controls
• Cost reduction


COMPUTER SKILLS:

• All Microsoft office applications.
• All Microsoft Operating systems.
• Oracle accounting systems.
• Adler accounting system.
• Microsoft Dynamics Navision accounting systems.


LANGUAGES:
• Arabic: Mother Tongue.
• English: Fluent

With my best regards ...

Hany Aldafrawy

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