Vice President - Finance & Controlling
Bangalore International Airport Limited
Total years of experience :30 years, 11 months
Controlling, Budgeting, Cash Flow Management, Compliance, digitalization
Led implementation of SAP and participated as Core Member in Oracle R12 implementation
Custodian of financial planning & analysis: Supervising and monitoring day-to-day factory accounting, cash management and banking and and played a key role in supervising project operations and commissioning of plant
Executed a project and drawdown Rs.950 Crores of fund from 11 Banks and FIs in GMR Power Corporation Pvt. Ltd.
Played a key role in handling 2 power plant project and managed cash flow and fund management including working capital management; liaising with Banks/ FI, cash flow projections, arranging funds for projects, controlling approved Capex and actual Capex and entire finance and accounts activities with 20 members
Business Finance Controller: Successfully managed close to 250 projects worth Rs. 800 crores
Conceptualizing, implementing and supervising general ledger and financial reporting processes and on time compliance of US GAAP
Successfully managed INR 3000 crore turnover organization with a team of 60 people and responsible for implementation of risk based internal and statutory audit strategies
Proven capabilities in managing operations across India, Malaysia and Thailand; administered 200 Indian Railway Projects
., Bangalore
•Received Best
Key Result Areas:-
•Designing & implementing systems, policies & procedures to facilitate internal financial and process controls & cost management; collaborating with the senior management team in improving and executing strategies and processes, accomplishing corporate goals and profitability for the company
•Instituting the financial and accounting policies & systems; establishing product line profit & loss statements to identify opportunities & risks; reporting the business plan to the Senior Management Team for corporate policy development to improve the EBITDA, net income and working capital
•Steering overall financial operations encompassing accounting, annual audit, budgeting, reporting, consolidation of financial statements and other financial functions while adhering to Indian GAAP, accounting principles, and standards
•Supervising bid budget, operating budget, forecasting, revenue planning, cash flow management, strategic decision, reporting to Indian and global management
•Monitoring all financial transactions, reporting and policies including budget & forecasting reports; generating reports with logical analysis and interpretations, that depicts the financial trends, risk scenarios and high risk areas
•Conducting effective operational analysis and strategic recommendation for the company’s management team; apprising management with plan vs actual variances, problem areas and potential areas for improvement
•Establishing internal control disciplines throughout the region towards maintaining integrity and accuracy of financial reports; managing preparation and implementation of SOPs for adequate control
•Devising audit plan for the year and ensuring that the audits (internal and external) are completed within timelines
•Generating MIS reports to provide feedback to the management on statements for purchase, budget, cash and fund flow and so on
•Spearheading all financial transactions, reporting and policies including general ledger maintenance, accounts payable & receivable, balance sheet reconciliations, project accounting and capitalization of assets
•Reviewing current and past trends in key performance indicators including all areas of revenue, cost of sales, SG&A expenses and capital expenditures
Worked as
Recognized for leadership excellence by supervising and monitoring day-to-day factory accounting, cash management and banking
•Applied advanced skills in financial analysis such as budget setting, expense variance analysis; investigated and resolved potential project revenue leakage areas
•Supervised purchase accounting and purchase bill passing, fund management & fund projection, opening of LC’s/ BG’s, liaising & dealing with banks, preparation of cash flow statement on daily basis and monthly basis, handling of banking documents such as monthly statements and DP calculation
from ICAI
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