Hesham El-Sheikh

Hesham El-Sheikh Email and Phone Number

Group Chief Financial Officer @ EL Banna Group
Egypt
Hesham El-Sheikh's Location
Egypt, Egypt
Hesham El-Sheikh's Contact Details

Hesham El-Sheikh personal email

About Hesham El-Sheikh

Senior financial officer with more than 25 years of experiences directing and improving corporate financial operations of major domestic and international companies. Proven ability to increase profitability and reduce losses. Perfect skills in developing and implementing processes and control, improving business operations and establishing automated financial and business systems. Adept at coordinating internal finance and tax audit, and serving as liaison to external auditors, corporate officers and customers. Highly proficient at evaluating and managing legal and financial aspects of contract preparations. Outstanding communications and analysis skills Proven area of expertise includes:-Strategic planning&organizational leadership -Corporate finance&Investment-Budgeting&cost Management -Team Building&Performance improvement-Feasibility Studies&Business plans -Complex business&Tax issues-International Accounting Standards IAS -Risk Management

Hesham El-Sheikh's Current Company Details
EL Banna Group

El Banna Group

View
Group Chief Financial Officer
Egypt
Website:
elbannagroup.com
Employees:
207
Hesham El-Sheikh Work Experience Details
  • El Banna Group
    Group Chief Financial Officer
    El Banna Group
    Egypt
  • Am Group For Export And Import
    Chief Financial Officer
    Am Group For Export And Import Jan 2019 - Present
    * Lead the development of the financial regulations, corporate policy ,work systems and procedures.*Assess the company performance (divisions) against both the annual budget and company’s long-term strategy.*Develop tools to provide critical financial and operational information to the top management &BOD.* Development of long-term planning and costs management in alignment with company strategic plan.*Participate in key decisions pertaining to strategic initiatives, operating model and operational execution * Complete analysis of financial results and develop recommendations * Develop and execute analysis of various business initiatives Develop and maintain capital budget.* Development of financial planning and analysis exercises/reports.* Development of cash flow planning and ensure availability of funds as needed. *Develop LBO, MBO, and Merging&Acquisitions valuation models.*Develop Instruments, Performance, Benchmarks, and Strategies of Alternative Investments. * Develop wide range of fixed income products and fixed income portfolio management strategies.* Preparing feasibility studies for new projects& business lines.*Develop and utilize forward-looking, predictive models and activity-based financial analysis to provide insight into the organization’s operations and business plans.* Represent the company to financial partners, including financial institutions, investors, foundation executives, auditors, public officials, etc.
  • Sega-M
    Chief Financial Officer
    Sega-M May 2017 - Dec 2018
    * Lead the development of the financial regulations, corporate policy work systems and procedures.*Assess the company performance (divisions) against both the annual budget and company’s long-term strategy.*Develop tools to provide critical financial and operational information to the top management &BOD.* Development of long-term planning and costs management in alignment with company strategic plan.*Participate in key decisions pertaining to strategic initiatives, operating model and operational execution * Complete analysis of financial results and develop recommendations * Develop and execute analysis of various business initiatives Develop and maintain capital budget.* Development of financial planning and analysis exercises/reports.* Development of cash flow planning and ensure availability of funds as needed. *Develop LBO, MBO, and Merging&Acquisitions valuation models.*Develop Instruments, Performance, Benchmarks, and Strategies of Alternative Investments. * Develop wide range of fixed income products and fixed income portfolio management strategies.* Preparing feasibility studies for new projects& business lines.*Develop and utilize forward-looking, predictive models and activity-based financial analysis to provide insight into the organization’s operations and business plans.* Represent the company to financial partners, including financial institutions, investors, foundation executives, auditors, public officials, etc.*Oversee and supervise the administrative function including reception, property/facility management, safety of the work environment, and provision of furnishings and equipment necessary for effective operations
  • Am Group-Fmcg
    Chief Financial&Administration Officer
    Am Group-Fmcg Jun 2014 - Apr 2017
    * Lead the development of the financial regulations, corporate policy ,work systems and procedures.*Assess the company performance (divisions) against both the annual budget and company’s long-term strategy.*Develop tools to provide critical financial and operational information to the top management &BOD.* Development of long-term planning and costs management in alignment with company strategic plan.*Participate in key decisions pertaining to strategic initiatives, operating model and operational execution * Complete analysis of financial results and develop recommendations * Develop and execute analysis of various business initiatives Develop and maintain capital budget.* Development of financial planning and analysis exercises/reports.* Development of cash flow planning and ensure availability of funds as needed. *Develop LBO, MBO, and Merging&Acquisitions valuation models.*Develop Instruments, Performance, Benchmarks, and Strategies of Alternative Investments. * Develop wide range of fixed income products and fixed income portfolio management strategies.* Preparing feasibility studies for new projects& business lines.*Develop and utilize forward-looking, predictive models and activity-based financial analysis to provide insight into the organization’s operations and business plans.* Represent the company to financial partners, including financial institutions, investors, foundation executives, auditors, public officials, etc.
  • Tanmeyah Micro Enterprise
    Chief Financial Officer
    Tanmeyah Micro Enterprise Dec 2009 - May 2014
    Cairo, Eg
    * Lead the development of the financial regulations, corporate policy ,work systems and procedures.*Assess the company performance (divisions) against both the annual budget and company’s long-term strategy.*Develop tools to provide critical financial and operational information to the top management &BOD.* Development of long-term planning and costs management in alignment with company strategic plan.*Participate in key decisions pertaining to strategic initiatives, operating model and operational execution * Complete analysis of financial results and develop recommendations * Develop and execute analysis of various business initiatives Develop and maintain capital budget.* Development of financial planning and analysis exercises/reports.* Development of cash flow planning and ensure availability of funds as needed. *Develop LBO, MBO, and Merging&Acquisitions valuation models.*Develop Instruments, Performance, Benchmarks, and Strategies of Alternative Investments. * Develop wide range of fixed income products and fixed income portfolio management strategies.* Preparing feasibility studies for new projects& business lines.*Develop and utilize forward-looking, predictive models and activity-based financial analysis to provide insight into the organization’s operations and business plans.* Represent the company to financial partners, including financial institutions, investors, foundation executives, auditors, public officials, etc.
  • Elsewedy Electric Group
    Director Of Finance
    Elsewedy Electric Group Nov 2006 - Nov 2009
    *Assist in formulating the Group's future direction and supporting tactical initiatives.*Monitor and direct the implementation of strategic business plans.*Develop financial and tax strategies.*Manage the capital request and budgeting processes.*Develop performance measures that support the company's strategic direction.*Participate in key decisions as a member of the executive management team.*Manage the accounting, costing, investor relations, financial auditing, tax, and treasury departments.*Oversee employee benefit plans, with particular emphasis on maximizing a cost-effective benefits package.*Preparing feasibility studies for new projects.*Report financial results to the board of directors.*Understand and mitigate key elements of the company's risk profile.*A member of group finance committee for developing group business model.*Construct and monitor reliable control systems.*Maintain appropriate insurance coverage.*Ensure that the company complies with all legal and regulatory requirements.*Maintain relations with external auditors and investigate their findings and recommendation.*Monitor cash balances and cash forecasts.
  • Electro Star Group
    Director Of Finance
    Electro Star Group Nov 2003 - Oct 2006
    *Assist in formulating the Group's future direction and supporting tactical initiatives.*Monitor and direct the implementation of strategic business plans.*Develop financial and tax strategies.*Manage the capital request and budgeting processes.*Develop performance measures that support the company's strategic direction.*Participate in key decisions as a member of the executive management team.*Manage the accounting, costing, investor relations, financial auditing, tax, and treasury departments.*Oversee employee benefit plans, with particular emphasis on maximizing a cost-effective benefits package.*Preparing financial &business reports for board of directors.*Understand and mitigate key elements of the company's risk profile.*Monitor all open legal issues involving the company.*Construct and monitor reliable control systems.*Maintain appropriate insurance coverage.*Ensure that the company complies with all legal and regulatory requirements.*Maintain relations with external auditors and investigate their findings and recommendation.*Monitor cash balances and cash forecasts.
  • Nile Waterproofing Group
    Financial&Administrative Manager
    Nile Waterproofing Group Aug 2002 - Oct 2003
    Finance Responsibilities:*Develop and maintain timely and accurate financial statements.*Insure that financial statements are prepared accordance with generally accepted accounting principles.*Develop, implement, and ensure compliance with internal financial and accounting policies and procedures.*Develop and maintain systems for cash management, accounts payable, accounts receivable, credit control.*Review monthly results and implement monthly variance reporting.*Establish guidelines for budget and forecast preparation.*Negotiate with Bank for lines of credit or other financial services as required and appropriate*Evaluate the need for new technology to meet the organization's financial data processing, control, and reporting requirementsAdministration*Oversee and supervise the administrative function of the company including reception, property/facility management, safety of the work environment, and provision of furnishings and equipment necessary for effective operations *Oversee the management of all leases, contracts and other financial commitments
  • Al-Babtain Industries Of Egypt
    Financial Manager
    Al-Babtain Industries Of Egypt Feb 1999 - Jul 2002
    *Development of regulations, policies and procedures governing the company.*Forecast cash flow positions, related borrowing needs, and available funds for investment*Use hedging to mitigate financial risks related to the interest rates on the company's borrowings, as well as on its foreign exchange positions*Maintain banking relationships*Determining the company's proper capital structure*Preparing feasibility studies for new projects.*Recommend appropriate dividend issuances, based on historical dividend patterns and expected cash flows*Manage the preparation of the company's budget*Assist management in the formulation of its overall strategic direction*Engage in ongoing cost reduction analyses in all areas of the company*Engage in benchmarking studies to establish areas of potential operational improvement*Interpret the company's financial results to management and recommend improvement activities*Assist in the determination of product pricing in relation to features offered and competitor pricing*Participate in the financial modeling and due diligence efforts related to the Al-Babtain Group’s IPO.
  • Aluminum Sulphate Co. Of Egypt
    Head Of Financial Planning
    Aluminum Sulphate Co. Of Egypt Feb 1995 - Feb 1999
    *Develop, implement and maintain an effective planning and analysis capability that will provide senior leadership with appropriate analytical tools to establish goals and measure performance of the Company’s portfolio of businesses. *Routinely communicate business unit and company consolidated financial and operational performance trends, historical and forecasted, using appropriate metrics. *Coordinate the capital spending review process for the company. *Lead scenario modeling efforts for the development and growth of the portfolio. *Participate as a key thought leader of the global finance team, influencing decision making, identifying finance priorities, managing directly and indirectly - finance staff in multiple locations. *Influence the accuracy and effectiveness of the corporate accounting consolidation and closing process and treasury operations through analytical review and trend analysis. *Develop and execute processes to allow for routine analytical reviews of company financial and operational performance, leveraging business unit analytical resources and tools *Lead the strategic aspects of the annual operating plan and budget process for the company *Prepare presentations in support of board and shareholder meetings, monthly/quarterly senior leadership meetings and various strategic committees of the company. *Coordinate capital review meetings.*Participate in the financial modeling and due diligence efforts related to the company's ongoing M&A activities.
  • Aluminum Sulphate Co. Of Egypt
    Head Of Accounting&Costing
    Aluminum Sulphate Co. Of Egypt Feb 1990 - Feb 1995
    Accounting responsibilities:*Obtain and maintain a thorough understanding of the financial reporting and general ledger structure *Ensure an accurate and timely monthly, quarterly and year end close. *Ensure the timely reporting of all monthly financial information. *Assist the Controller in the daily banking requirements. *Advises staff regarding the handling of non-routine reporting transactions. *Responds to inquiries from the Executive Financial Manager *Supervise the general ledger group to ensure all financial reporting deadlines are met. *Assist in development and implementation of new procedures and features to enhance the workflow of the department. *Provide training to new and existing staff as needed. Cost Accounting responsibilities*Development of standard rates and costs.*Performance reporting:*Cost Analyze variances (PPV, Usage, Efficiency, etc)*Performance benchmarking*Profitability& Margin analysis (volume, mix, and rate) Analysis:*Monitor inventory for excess, obsolete and aged items, ensuring appropriate disposition of product.*Provide sale staff and management with costing for existing and new products in support of product pricing*Coordinate and control the fiscal budgeting and forecasting activities*Assist Operations in departmental budget development
  • Lord Maritime Enterprises
    Chief Accounts
    Lord Maritime Enterprises Jun 1985 - Feb 1990
    * Responsible for knowing critical functions within the department and capable of mentoring and assisting employees within the department.* Utilize teamwork to develop departmental synergy.*Monitors compliance with generally accepted accounting principles (GAAP) and company procedures.*Reviews, investigates, and corrects errors and inconsistencies in financial entries, documents, and reports.* Assures compliance with local and corporate policies, regulations and laws.* Reviews accounts payables and weekly check runs.*Determines proper handling of financial transactions and approves transactions within designated limits.* Responsible for distributing financial statements and cost center reports.* Prepares work papers and supporting schedules for the annual financial review.* Staff management and development.* Prepares financial statements and other reports to summarize and interpret current and projected company financial position.*Analyze transactional processes and identify areas where additional accuracies and efficiencies can be achieved.*Closely maintains and monitors the fixed assets system.*Adheres to internal and external deadlines.*Applies cost accounting methods to achieve accurate representation of cost center performance.* Responsible for all taxes obligations.*Work with both internal and external auditors during financial and operational audits.*Maintain system of accounts and keep records on all company transactions and assets.*Report, analyze, and ensure integrity of all financial information

Hesham El-Sheikh Skills

Financial Analysis Forecasting Leadership Financial Reporting Management Accounting Risk Management Analysis Cash Flow Financial Modeling Corporate Finance Auditing Banking Budgets Mergers And Acquisitions Financial Planning Budgeting&cost Management Feasibility Studies&business Plans Corporate Finance&investment Team Building&performance Improvement Complex Business&tax Issues Business Analysis Strategic Financial Planning Analytical Skills Strategic Planning&organizational Leadership Feasibility Studies&business Plans International Accounting Standards Ias Risk Management

Hesham El-Sheikh Education Details

  • Corporate Finance Institute® (Cfi)
    Corporate Finance Institute® (Cfi)
    Financial Modeling
  • Arab Academy For Science, Technology And Maritime Transport
    Arab Academy For Science, Technology And Maritime Transport
    Investments And Securities
  • The American University In Cairo
    The American University In Cairo
    Finance-Accounting
  • Cairo University
    Cairo University
    Accounting

Frequently Asked Questions about Hesham El-Sheikh

What company does Hesham El-Sheikh work for?

Hesham El-Sheikh works for El Banna Group

What is Hesham El-Sheikh's role at the current company?

Hesham El-Sheikh's current role is Group Chief Financial Officer.

What is Hesham El-Sheikh's email address?

Hesham El-Sheikh's email address is he****@****hoo.com

What schools did Hesham El-Sheikh attend?

Hesham El-Sheikh attended Corporate Finance Institute® (Cfi), Arab Academy For Science, Technology And Maritime Transport, The American University In Cairo, Cairo University.

What skills is Hesham El-Sheikh known for?

Hesham El-Sheikh has skills like Financial Analysis, Forecasting, Leadership, Financial Reporting, Management, Accounting, Risk Management, Analysis, Cash Flow, Financial Modeling, Corporate Finance, Auditing.

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