Having 17 years experience in the audit, accounts and finance related management, etcSKILLSo Financial management, Auditing, Accounts, Financial Reporting, Budgeting, Taxation, Internal Control Design and assessment.o Managing professional relationships and organizational skills.o Skills on different professional accounting and reporting softwares implemented in organistaions,ERP,etc.
• Preparation, reporting and approval of C.E.O of daily cash flow position and approval of weekly cash budget. • Daily reporting to C.E.O of material purchase & payments with coordination of concerned deptartments. • Daily Reporting to HOD about raw material Imports, arrangements & allocation of funds accordingly. • Perform role for opening import L/Cs, contracts with banks(trade finance) and keep follow-up of import consignments till maturity/release of consignment from custom authorities. • Perform work on special assignment of long-term loans restructuring, relevant assets charge creation/vacation{relevant property mortgage/collateral for financing facilities}. • Reporting to board members and consult about funding options. • Preparation of Management Accounts on quarterly basis and maintain working relationship with Banks(financial institutions). • Ensure all financial activities and compliance with financial regulations. • Evaluate and decide on investments(new projects feasibility reports) • Develop secure procedures to maintain confidential information.
· Producing comprehensive and sustainable financial strategies that underpin the company’s strategic aims. Assurance of compliance with all the relevant management policies. Forecast monthly,quarterly and annual results.
· Reviewing of the financial statement and perform different analysis.
· Conduct risk assessment, risk management, approve or reject budgets.
· Evaluate and decide on investments
· Allocate resources and manage cash flows
· Develop secure procedures to maintain confidential information
· Ensure all accounting activities and internal audits comply with financial regulations
· Reporting to board members and consult about funding options.
· Conduct profit and cost analyses, recommend cost-reducing solution
· Responsible for the financial statements.
· Responsible for Cash flow position, monthly budgeting, cash forecasting, revenue and expenditure variance analysis, capital assets reconciliations.
· Presenting monthly results and reports to Head of the department.
· Ensuring the integrity and accuracy of day to day financial preparation.
· Preparation of working capital positions and done different investment appraisal projects as per company’s requirements.
· Study the system of complete internal control systems and its implementations.
· Carrying out staff performance reviews.
· Managing the cash flow needs of the company.
· Looking after and managing the accounts team.
· Implementation of the management policies.
· Checking the compliances with accounting standards and relevant legislations.
· Manage and oversee the daily operations of the accounting department including:
Ø month and end-year process, accounts payable/receivable, cash receipts, general ledger, payroll and utilities,
Ø account statement reconciliations,fixed asset activity, debt activity
· Monitor and analyze accounting data and produce financial reports or statements
· Establish and enforce proper accounting methods, policies and principles
· Coordinate and complete annual audits
· Provide recommendations
· Improve systems and procedures and initiate corrective actions
· Assign projects and direct staff to ensure compliance and accuracy
· Meet financial accounting objectives
· Establish and maintain fiscal files and records to document transactions.