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Jaillan H. — Mid-Level Financial Manager from Egypt

Jaillan H.

Mid-Level Financial Manager

Egypt No experience yet
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About

Jaillan H. is an experienced Financial Manager at Al Montazah for Tourism & Investment Co. since March 2009, specializing in financial statement preparation and reporting, data analysis, and comprehensive accounting support. With a Bachelor of Accounting from Cairo University earned in 2000, Jaillan is currently advancing her expertise by studying for the CFA certificate. In her role, she ensures the accuracy of revenue recognition and account reconciliations, prepares detailed financial statements as per Egyptian accounting standards, and manages inter-company accounts. Having used Oracle, Namasoft, and Extra ERP software, Jaillan's proficiency extends to maintaining bookkeeping, invoicing, and bank reconciliations. Her prior role as Chief of Accountant at the Egyptian Telephone Company (QuickTel) showcased her abilities in fixed asset bookkeeping and creating journal entries through Oracle applications. Additionally, she has extensive experience coordinating internal audits, managing tax reviews, and identifying cost reduction opportunities through detailed expense analysis.

Experience

  • Financial Manager

    Al Montazah for Tourism & Investment co. · 2009 — Present
    Prepared and reviewed monthly internal financials, ensuring accurate revenue recognition and account reconciliations. Compiled, analyzed, and reported financial information for corporate management while cooperating with the costs department on project estimations. Maintained the Chart of Accounts and documented expenses in QuickBooks for budgetary oversight, alongside performing daily cash functions including A/P and A/R tracking. Conducted periodic internal audits to uphold corporate governance standards and oversaw the preparation of financial statements, as well as tax reviews with the Egyptian Tax Authority.
  • Chief of Accountant

    Egyptian Telephone Company (QuickTel) · 2000 — 2009
    Managed bookkeeping for fixed assets and ensured accurate transaction reviews related to letters of credit (LCs), including creating relevant journal entries in the Oracle application. Compiled monthly reports of LC transactions to analyze bank charges and expenditures, while comparing actual values against budgeted figures to facilitate timely decision-making.

Skills & Expertise

Education

  • Bachelor of Accounting
    Cairo University · — — 2000

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