Esraa Siddig
About Candidate
Results-driven Accountant and Banking Professional with 5+ years of experience in financial reporting, general ledger, bank reconciliations, accounts payable and receivable, payment processing, electronic clearing, and internal controls across banking, healthcare, and commercial sectors. CMA Certified (Parts 1 & 2) and FMAA (Financial Modeling & Analysis Associate) holder, with strong knowledge of IFRS, regulatory compliance, and financial analysis. Known for catching discrepancies before they escalate and strengthening controls under tight deadlines.
Location
Education
Bachelor's degree in Financial Accounting with a strong foundation in Financial Reporting, IFRS, Auditing, Taxation, Cost Accounting, Financial Analysis, Budgeting, Internal Controls, and Accounting Information Systems. Developed analytical and problem-solving skills applicable to financial reporting and business decision-making.
Completed advanced studies in Accounting and Finance with emphasis on financial reporting, management accounting, taxation, budgeting, internal controls, and business decision-making.
Earned the FMAA credential demonstrating knowledge of financial accounting, managerial accounting, budgeting, cost management, financial statement analysis, internal controls, ethics, and business finance.
Completed the Certified Management Accountant (CMA) program issued by the Institute of Management Accountants (IMA), USA. Acquired advanced expertise in Financial Planning, Performance Management, Corporate Finance, Decision Analysis, Risk Management, Investment Decisions, Internal Controls, Professional Ethics, and Financial Statement Analysis.
Work & Experience
Managed daily accounting operations, prepared journal entries, maintained the general ledger, reconciled bank accounts, monitored cash flow, processed supplier invoices, supported inventory accounting, and ensured accurate financial reporting through effective reconciliation and internal control procedures.
Prepared journal entries, maintained accounting records, generated financial reports, managed patient billing and insurance claims, reconciled accounts, supported month-end closing, and strengthened internal controls to improve financial accuracy and reporting efficiency.
Managed daily banking operations, including payment processing, internal and interbank transfers, foreign exchange transactions, and electronic clearing. Performed account reconciliation, transaction monitoring, regulatory compliance, documentation review, and coordinated with financial institutions to ensure accurate and efficient banking operations.
