I am a highly motivated and personable professional with 13 years of total experience in handling books of Accounts and preparing various types of managerial reports for internal use by the business owners or key decision makers and financial reports for external use. Possess a wide range of abilities including providing leadership and support to junior staff and explaining how to achieve the best and most in less time. I am fully capable of identifying and analyzing financial trends and formulating effective, successful financial plans. Proficient in conducting research and analysis, developing financial reports, and coordinating statistical projects etc.,
Manage the accounting and financial operations of the company. Responsible for Monthly, Quarterly and Annual financial reporting (IFRS) including coordinating audits for all investments. Providing strategic advice on business development and business plan. Providing concise and relevant management information to assist the business in optimizing cost and cash flow. Act as a commercial and risk manager for the business. Scrutinize and ensure that company’s business activities are following the company’s internal guidelines and authority delegations. Support and address project-specific accounting, financial controls and capital needs. Serve as the main channel of information on company economic, business and financial conditions, as well as their impact on the overall strategies and objectives. Mentor and develop an efficient finance team. Lead the modelling, planning, and execution of all financial processes. Execute short and long-term customer comprehensive financial strategies to reach company goals. Researched potential statistical methodologies and analysed the efficacy and validity of various models. Developed financial analysis procedures. Analysed financial house records to discern trends, manage costs and administrative commitments, company future revenues and expenses. Implemented the company policies and procedures and internal control system to protect the company’s assets and ensure that it has relevant & reliable information on its liabilities.
Advised the management of all financial matters through reporting, analysis and interpretation of the financial condition of the company.
Enforced budget policies, budget preparation and proactively monitors & controls variances.
Developed systems to control operating expenses and exceeds the bottom line i.e., profitability.
Prepared monthly, quarterly and yearly financial reports with a comparison to the budgeted figures and ascertain the variances with comments.
Established appropriate credit policies and boost the collection from customers.
Devised proper chart of accounts and internal control system.
Supervised the physical stock-taking of all warehouses i.e., finished goods, work in process and raw materials.
Coordinated the conduct of the external audit of the company.