Summary
Overview
Work History
Education
Skills
Militarystatus
Personal Information
References
Summary - Summary
Certification
Timeline
Generic
Tamer Soliman

Tamer Soliman

Financial Controller
Jeddah,02

Summary

Highly qualified financial services professional with 20 years of progressive experience in financial accounting, auditing, investment accounting, and valuations, interested in applying diverse skills to a financial management position. - Attention to detail, Communication skills and problem solving. - Analytical mind. - High levels of integrity Negotiating - Experience in industrial field and factories as well.

Overview

2025
2025
years of professional experience
4
4
years of post-secondary education
2
2
Certifications

Work History

Financial Controller

Hyrmas International Ltd.
Jeddah, Mecca Region
6 2023 - Current
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Created a strategy to improve earnings by diversifying funding sources which resulted in creation of the Financial Services Division
  • Establishing the documentary and accounting Cycle for modern companies
  • Establishment and management of strong financial and accounting management
  • Preparation of taxes inspection reports
  • Financial statement analysis
  • Monitored accounting departments and reviewed reports from various departments
  • Perform full set of accounts and ensure timely closing of accounts
  • Bringing to attention of the management any abnormality in the disbursement of the funds
  • Perform cash flow forecasting, budgeting and working closely with the operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Issue project cost reports for review and approval
  • Created a strategy to improve earnings by diversifying funding sources which resulted in creation of the Financial Services Division
  • Responsible for developing the company's annual plan and following up on its implementation
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Financial statement analysis
  • Perform cash flow forecasting, budgeting and working closely with the operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Representing the company in front of governmental and non-governmental agencies
  • Preparing general assemblies, boards of directors, and attendance on behalf of the chairman of the board of directors
  • Preparing the annual Board of Directors report
  • Worked with 3 executives to create annual budget and track actual expenses against projected expenses.
  • Improved financial reporting accuracy by streamlining processes and implementing efficient financial controls.
  • Oversaw all aspects of the month-end close process, ensuring timely completion of accurate financial statements for executive review.
  • Planned budgets, authorized expenditures, monitored accounting processes, established service rates and coordinated financial reporting to oversee all fiscal procedures.
  • Maintained strong relationships with external auditors, facilitating smooth annual audit processes and addressing any concerns promptly.
  • Conducted regular variance analyses between actual results and budget projections to identify trends or issues requiring further investigation or action by management staff.
  • Led organizational cash flow and cash flow forecasting initiatives.
  • Prepared accurate financial reports and monthly statements for accounts receivable.
  • Managed a team of finance professionals, providing guidance, support, and ongoing training to ensure continued growth and development.
  • Contributed to the development of long-term strategic plans by providing executive management with accurate financial data and forecasts.
  • Spearheaded the implementation of new accounting software, resulting in increased efficiency and improved financial tracking capabilities.
  • Collaborated closely with department heads to establish accurate budgets and monitor performance against targets.
  • Enhanced cash flow management with timely accounts receivable monitoring and collections efforts.
  • Assisted in the preparation of annual tax filings, ensuring full compliance with local, state, and federal regulations while minimizing tax liabilities where possible.
  • Developed comprehensive financial models for strategic planning and decision-making purposes.
  • Implemented rigorous internal control measures to safeguard company assets and prevent fraud or mismanagement risks.
  • Ensured compliance with regulatory requirements by conducting thorough internal audits and implementing necessary corrective actions.
  • Supported executive-level decision making through the development of clear KPIs, financial metrics and dashboards.
  • Reduced operating costs through meticulous budget management and cost analysis.
  • Optimized working capital availability by proactively managing inventory levels, accounts receivable balances, vendor payment terms negotiation.
  • Identified areas for operational improvement through detailed financial analysis, leading to increased profitability and reduced expenses.
  • Collaborated with executive team in preparation of annual capital and operating budgets, forecasts and all financial reporting and analysis.
  • Prepared balance sheets, cash flow reports and income statements.
  • Completed year-end close processes through effective supervision financial functions and regular treasury transactions.
  • Supervised accurate, efficient, and compliant completion of monthly financial reporting packages.
  • Provided treasury and cash management by overseeing reconciliation of banking activity, credit card processing, and sales tax returns.
  • Accurately completed financial statement audits and thoroughly reviewed results.
  • Completed journal entries, reconciliations, and account analysis to prepare quarterly financial documents and general account management.
  • Followed up with delinquent accounts to obtain funds and reduce aging balances.
  • Managed daily financial functions in collaboration with accounting and payroll personnel.
  • Projected monthly cash expenditures through efficient budgeting and detailed document reviews.
  • Enhanced quality and currency of financial information by overseeing revenue collection systems.
  • Increased flow of financial information throughout company by improving communication strategies.
  • Created and distributed reports on internal and external finances, audits, and budgets.
  • Verified accurate completion of corporate income tax returns and optimal use of favorable tax codes.
  • Worked with 12 executives to create annual budget and track actual expenses against projected expenses.
  • Worked with [15] executives to create annual budget and track actual expenses against projected expenses.
  • Prepared and filed tax returns and generated monthly reports in compliance with regulatory and organizational standards.
  • Managed budgets, assets, portfolios, accounts payable, and receivable and general financial reporting procedures.
  • Directed corporate decision-making and planning by monitoring and setting policies and procedures to optimize fiscal performance.
  • Worked with both internal and external users to create detailed financial reports.
  • Reviewed contracts financially impacting company and counseled executive leaders on impact contracts would have on company operations.
  • Reviewed processes and procedures to guide program implementation and optimize auditing.
  • Supported program managers in providing procedural training on finance and accounting.
  • Mitigated risk by implementing internal controls and safeguards for revenues and expenditures.
  • Managed outstanding balance amounts by evaluating reports and determining collection statuses.
  • Maximized year-end tax benefits by efficiently managing cash flows.

Finance Manager

Italy Standard for Metal Forming
Cairo
03.2021 - 05.2023
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Created strategy to improve earnings by diversifying funding sources which resulted in creation of Financial Services Division
  • Establishing documentary and accounting Cycle for modern companies
  • Establishment and management of strong financial and accounting management
  • Preparation of taxes inspection reports
  • Financial statement analysis
  • Monitored accounting departments and reviewed reports from various departments
  • Perform full set of accounts and ensure timely closing of accounts
  • Bringing to attention of management any abnormality in disbursement of funds
  • Perform cash flow forecasting, budgeting and working closely with operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Issue project cost reports for review and approval
  • Created strategy to improve earnings by diversifying funding sources which resulted in creation of Financial Services Division
  • Responsible for developing company's annual plan and following up on its implementation
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Financial statement analysis
  • Perform cash flow forecasting, budgeting and working closely with operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Representing company in front of governmental and non-governmental agencies
  • Preparing general assemblies, boards of directors, and attendance on behalf of chairman of board of directors
  • Preparing annual Board of Directors report

Finance Manager

Poseidon for Investments and Projects Management
Cairo
01.2019 - 02.2021
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Created strategy to improve earnings by diversifying funding sources which resulted in creation of Financial Services Division
  • Establishing documentary and accounting Cycle for modern companies
  • Establishment and management of strong financial and accounting management
  • Preparation of taxes inspection reports
  • Financial statement analysis
  • Monitored accounting departments and reviewed reports from various departments
  • Perform full set of accounts and ensure timely closing of accounts
  • Bringing to attention of management any abnormality in disbursement of funds
  • Perform cash flow forecasting, budgeting and working closely with operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Issue project cost reports for review and approval

Finance Manager

New Generation for Trading
Cairo
09.2017 - 12.2018
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt Financing
  • Created strategy to improve earnings by diversifying funding sources which resulted in creation of Financial Services Division
  • Establishing documentary and accounting Cycle for modern companies
  • Establishment and management of strong financial and accounting management
  • Preparation of taxes inspection reports
  • Cash flow assessment
  • Financial statement analysis
  • Monitored accounting departments and reviewed reports from various departments

Accounting Manager

Tricom Controls Company
Cairo
01.2012 - 08.2017
  • Responsible for finance, accounting, taxes, strategic planning, Arranged for interim debt financing
  • Created strategy to improve earnings by diversifying funding sources which resulted in creation of Financial Services Division
  • Financial statement analysis
  • Monitored accounting departments and reviewed reports from various departments
  • Perform full set of accounts and ensure timely closing of accounts
  • Bringing to attention of management any abnormality in disbursement of funds
  • Perform cash flow forecasting, budgeting and working closely with operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Issue project cost reports for review and approval

Chief Accountant

Tricom Controls Company
01.2007 - 12.2011
  • Preparation of monthly, quarterly and annual financial reports
  • Maintaining accurate and up to date records of all financial transactions
  • Perform full set of accounts and ensure timely closing of accounts
  • Bringing to attention of management any abnormality in disbursement of funds
  • Perform cash flow forecasting, budgeting and working closely with operations and project teams in analyzing margins, variances and cost analysis
  • Perform project cost forecasts/budgets, cost tracking, monitoring and controls
  • Issue project cost reports for review and approval

Senior Accountant

EGYPTIAN WIRE DRAWING & MFG. Co. (SAE)
10.2003 - 12.2006
  • Supervise all booking process
  • Quarter financial statements
  • Monthly trial balance
  • Monthly GL confirmation
  • Bank reconciliation statement
  • Sales tax declaration & quarterly with-holding tax declaration
  • Weekly A/R & A/P report of customers, vendors & agents
  • Controlling raw materials, packaging tools & spare parts warehouses & preparing monthly inventory report
  • Recording all transactions entries to ledgers

Accountant

Felid for Trading
01.1999 - 09.2003
  • Controlling accounts receivable, accounts payable statement reports (Customers & Vendors & Agents)

Education

Bachelor of Commerce - Accounting And Finance

Ain Shams University
Egypt
09.1995 - 07.1999

Skills

Analytical skills

Excellent communication

Executive leadership advisement

Process improvement

Investment analysis

Strategic planning

Business forecasting

Staff training

Militarystatus

Exempted

Personal Information

  • Nationality: Egyptian
  • Marital Status: Married

References

Available upon request

Summary - Summary

  • Highly qualified financial services professional with 20 years of progressive experience in financial accounting, auditing, investment accounting, and valuations, interested in applying diverse skills to a financial management position.
  • Attention to detail, Communication skills and problem solving.
  • Analytical mind.
  • High levels of integrity Negotiating.
  • Experience in industrial field and factories as well.

Certification

International Accounting

Timeline

Analysis of financial Statements

05-2022

Finance Manager

Italy Standard for Metal Forming
03.2021 - 05.2023

International Accounting

02-2020

Finance Manager

Poseidon for Investments and Projects Management
01.2019 - 02.2021

Finance Manager

New Generation for Trading
09.2017 - 12.2018

Accounting Manager

Tricom Controls Company
01.2012 - 08.2017

Chief Accountant

Tricom Controls Company
01.2007 - 12.2011

Senior Accountant

EGYPTIAN WIRE DRAWING & MFG. Co. (SAE)
10.2003 - 12.2006

Accountant

Felid for Trading
01.1999 - 09.2003

Bachelor of Commerce - Accounting And Finance

Ain Shams University
09.1995 - 07.1999

Financial Controller

Hyrmas International Ltd.
6 2023 - Current
Tamer SolimanFinancial Controller