I am master degree holder, qualified majors in "Accounting & Finance '' with more than 10 years of exposure in the following roles and responsibilities. I am also pursuing CMA-US from "Institute of Management Accountants USA" & qualified in certified associateship of banking from the chartered bankers institute-UK.
Some of my expertise are Financial Statements Reporting, Budgeting & Forecasting, Cash Flow Management, Financial Planning & Analysis, Strategic Planning & Execution, Taxation, Team Leadership, Structuring Finance Department, Pre-openings & CAPEX Management and Stakeholder Management. Moreover, I have successfully led the cost saving strategies during my roles. For example, I lead the implementation of Oracle NetSuite, Zoho & QuickBooks accounting software at different companies. I have worked closely with senior management to develop and implement financial strategies that resulted in cost reduction by 10% and increasing the profitability of the company by 5%. I developed risk mitigation strategies by identifying potential risks.
Key Responsibilities:
Financial Reporting & Analysis:
• Prepare and present financial statements.
• Conduct financial analysis to identify trends, variances, and cost reduction opportunities.
• Ensure compliance with international financial reporting standards.
Budgeting and Forecasting:
• Develop, implement, and monitor the annual budget.
• Prepare financial forecasts and long-term financial plans.
Cash Flow Management:
• Monitor cash flow and liquidity to ensure sufficient funds are available for operational needs.
• Optimize working capital and manage relationships with banks and financial institutions.
Strategic Planning:
• Work closely with senior management to develop and implement financial strategies.
• Provide financial insights and recommendations to support business decisions and growth.
Internal Controls and Compliance:
• Ensure compliance with local laws, regulations, and tax requirements.
• Liaise with external auditors and regulatory bodies as necessary.More...