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CV Profile No.38672

Profile updated on 22.02.2022

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Profile details

Job category searched

  • Accounting, controlling, finance

Professional experience

Experience in the following industries :

  • Advice, audit, accounting
  • Banking, insurance, finance
  • Consumer goods
  • Food-processing industry
  • Import-export business

Professional experience

  • Credit Officer/Sales Accountant
  • SAYGA Investment Company
  • 12.2008 - 03.2013
  •  Ensure the execution of credit policies and all other company policies.  Achieve the monthly cash collection target.  Review periodically the guarantees provided by the customers.  Prepare and distribute daily credit limit report.  Responsible for sisters’ companies accounts in Sayga (other DALGROUP firms account in Sayga)  Passing commissions and subsidies of agents in the system.  Effect customer accounts with RD cheqes and report marketing department and follow up and collect it.  Maintain customer’s records and obtain statement confirmation.  Responsible for opening new customer accounts and maintaining customers’ master file in system which contains customer full details.  Resolving customer quarries regarding their account and credit status and follow up the default payment.  Prepare customer credit and debit note and statement of accounts.  Reconcile and clear AP/AR clearing suspense account.  Reconcile AR to ledger control accounts.  Perform daily Bulk Invoice.  Report to AR manager and financial manager the following: -  Statements of customer accounts (monthly)  Daily Cash inflow or Collection Report to Financial Manager using Excelcius software.  Ageing Report (monthly).  AR analysis Report (Monthly).  Daily credit limits Report.  Monthly Accrual Commission Report.  Customer performance report.
  • Finance Business Partner/Cost Controller
  • DAL FOOD
  • 03.2013 - 03.2016
  • Dal Food Division includes Dal Diary Factory, Dal Food Industries (Coca-Cola, Fanta, Raino, Safia) and Sayga Investment Co (Sayga Animal Feed, Sayga Food Industries, Sayga Pasta and Sayga Trading) starting from March 2013 until March 2016. Duties and responsibilities included:  Responsible for the ongoing analysis of process constraints, target costing projects, margin analysis, and tracing costs back to underlying activities.  Construct and monitor those cost-effective data accumulation systems needed to provide an appropriate level of costing information to management  Prepare and present P&L for Animal Feed Value Stream  Prepare landed cost Provision analysis and reconciliation.  Assist and support all stakeholders in evaluating different scenarios in order to have the best decision or solution.  Perform Standard Cost Variance analysis and release it to income statement in order to reflect the actual COGS.  Responsible from Costing of all items in Sayga Pasta and Sayga Trading Co (Including RM, PM and Finished goods)  Coordinate physical inventory counts and cycle counts  Prepare various reports for Company's projects managers.  Assist in closing general ledger for each period; prepare cost reports for management.  Provide analytical support to the operations team.  Participate in the annual budget process.
  • Quality Control Associate
  • CRIF (DUN&BRADSTREET) UAE
  • 02.2017 - 05.2017
  •  Performing quality check on CCAM reports prepared by Field Due Diligent officer as per request received from various banks like ADCB, AIB, FGB, CITI, RAK Bank and etc.  Assessing reports and provide rating based on the information available.  Credit and Financial Strength analysis of Corporate and SME clients.  Analysis of Financial Statements, Bank Statements and giving recommendation for Business Loans, Mortgage for Construction Loan, Top-up, Refinancing & Buyout.  Performing logical check and seek clarification from field visit associate in case of any red flags or forged documents.  Performing D&B check on the key management and beneficial owners to filter out possible risks associated with them.  Ensuring that AML Policies and Procedures and controls cover all applicable laws and regulations.  Identification, Management and Reporting of any fraudulent activities observed in the subject company.  Finding out process gaps and work on to improvise it.  Maintaining daily communication with the banks and customers for case status, queries, report and project deliveries and documentation.  Identifying the redundancy in the process flow and implementing the corrective steps to streamline the process flow.  Presenting cases in the forum for the senior management consent and recommendations.
  • Credit Associate
  • JTI Sudan, Japanese Tobacco International
  • 08.2017 - 12.2018
  •  Ensure Customer compliance, Alignment with sales ensuring invoice is within credit terms.  Maintain up-to-date billing system.  Ensure follow up on and collection of payments, reporting activities according to deadlines, perform account reconciliations, generate age analysis.  Consistently review AR aging to ensure compliance, maintain accounts receivable customer files and records, collect data and metrics.  Responsible for O2C compliance.  Monthly Credit Reports preparation and Upload in SAP.  Passing commissions and subsidies of agents in the system.  Achieve the monthly cash collection target.  Maintain customer’s records and obtain statement confirmation.  Responsible from monitoring and controlling Retail Distribution Channel.
  • General Ledger Specialist
  • JTI Sudan, Japanese Tobacco International
  • 01.2019 - 01.2020
  •  Prepare monthly journal entries such as Cash, Payroll, Benefits, Prepaid, In-kind, Expense Allocations & Revenue.  Detailed Account analysis on a monthly basis.  Develops and implements accounting procedures by analyzing current procedures; recommending changes.  Accomplishes accounting and organization mission by completing related results as needed.  Responsible for completion of and posting Entity Ledgers (BS & P&L)  Apply proper local policies to comply with Corporate Policies and Procedures.  Provide accurate and timely monthly closing.  Work with multiple departments to ensure completeness and accuracy.  Assist with Balance Sheet preparation and Monthly Account reconciliations.  Maintain and update Fixed Assets spreadsheet.  Review cash deposits and prepare cash receipt journal entries.  File and maintain all journal entries for internal and audit purposes.  Assist in automating processes and procedures.  Assist with financial audits and tax return paperwork.  Backup Accounting Specialist with duties.  Work with multiple Finance and Non-finance departments to Complete Key Account reconciliations
  • Financial Planning & Analysis
  • Financial Planning & Analysis
  • 02.2020 - 10.2020
  •  Deliver OPEX budget plans and reviews. Consolidate plans, support and challenge forecast area LE, ASP.  Ensure postings accuracy providing feedback to areas. Deliver accruals, reclasses and cross-charges.  Lead budgeting & forecasting process LE, ASP.  Analyses: Rolling forecast development and analyses, and variance explanations for total OPEX.  Participation in consolidation and analysis of financial data on a Market level in compliance with management and IFRS requirements (Market P&L, Gross Margin, Net Sales, OCC).  Contributing to the month and year-end closing process, variance analysis of financial results vs. plan.  Preparing, analyzing and advising on various investment scenarios and pricing scenarios for local and HQ management decisions.  Formalization of financial calculations for BAP/MEMO.
  • Treasury Specialist
  • JTI Sudan, Japan Tobacco International
  • 11.2020 - 03.2021
  •  Manages all company bank transactions ensuring accuracy of transfer information, speed of delivery and efficiency of transactional recording process.  Responsible for ensuring the payment of invoices in respect of goods or service that have been purchased or ordered from inside & outside of Sudan are paid in a timely manner.  Manage cash handling and the reconciliation process of bank deposit and withdrawals to ensure accuracy of recording and reporting and communication with stakeholder to settle It accordingly.  Preparing daily cash position for Management.  Maintaining the Bank reconciliation in order to control inward & outward cash flow.  Preparing and processing the FX Purchases & Repatriation & revaluation.  Prepare and submit and upload exchange rate in MIS & SAP.
  • Internal Audit
  • DAL GROUP
  • Since 04.2021
  •  Checking & reporting observations on the company's compliance of systems, policies & procedures through in-depth analysis & study of vouchers, documents, financial records & business processes.  To maintain the audit log & follow up with the auditees to close pending audit recommendations.  Work with management to conduct a business risk assessment to assess, identify, and monitor pertinent strategic, operational, and financial risks that could interfere with the company’s objectives and ensure line managers plan to mitigate the identified risks by maintaining a business risk register.  To provide an investigation capacity reporting to the management on areas of specific concern, including possible initial fraud investigation.  Conduct and/or participate in perpetual, monthly & yearly stock & assets verifications in showrooms, warehouses & 3rd party premises of the companies, including variance analysis reports.  Conduct surprise cash verifications at the various BU’s locations.

Skills

Financial Analysis, Costing, Financial Planning, Budgeting, Variance Analysis, Reconciliation, Accounts Receivable, Forecasting

Education

Education level : Master

    Bs.c Business Administration & Financial Sciences

  • University of Medical Sciences & Technology
  • 11.2003 - 05.2008
  • Finance Specialization

    Master of Business Administration

  • University of Medical Sciences & Technology
  • 02.2011 - 08.2012
  • Finance Specialization.

    BS.c Business Administration & Financial Sciences

  • University of Medical Sciences & Technology
  • 11.2003 - 05.2008
  • Finance Specialization

Key Skills

  • Accounting
  • Audit
  • Balance Sheet
  • Bank
  • Bank Reconciliation
  • Billing
  • Budgeting
  • Consolidation
  • Controlling
  • Customer Credit
  • Finance
  • Financial Analysis
  • Financial Calculations
  • Financial Planning
  • Financial Risks
  • Financial Statements
  • Forecasting
  • IFRS
  • Internal Audit
  • Inventory

Languages

    • Arabic
    • Fluent
    • English
    • Fluent

More information

  • Availability : in 1 month
  • Geographical flexibility : Khartoum - International
  • Place of residence : 1111
  • Accepted employment type : Permanent contract
  • Last updated : 22.02.2022
  • Total views CV : 111

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