Mehnaz خان, Finance Faculty

Mehnaz خان

Finance Faculty

Quaid-e-Azam University

البلد
كندا
التعليم
دكتوراة, Finance
الخبرات
14 years, 2 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :14 years, 2 أشهر

Finance Faculty في Quaid-e-Azam University
  • باكستان
  • يناير 2000 إلى يناير 2013

Taught Financial Management, Financial Accounting, Management Accounting and Business Research to MBA students at Quaid-e-Azam University and Bahria University, Pakistan and NewZealand International School, Jakarta, Indonesia .
•Arranged several seminars on ‘International Accounting Standards’, ‘Market Capitalization’ and ‘International Finance’, with leading professionals from the capital market, regulatory authorities and various International organizations as key speakers.

Finance Instructor في New Zealand International School
  • إندونيسيا
  • يناير 2005 إلى يناير 2007
Financial Analyst في Management Trainee CitiBank
  • باكستان
  • يناير 1997 إلى يناير 1998

in the Projects and Investment Departments. Developed Appraisal Reports of leading companies which included an in-depth analysis of their financial statements and a study of the risks faced by their respective industries.
•Monitored and evaluated the performance of various projects the DFI had invested in.
•Performed due diligence, financial modeling and valuation of companies using DCF techniques.
•Implemented liquidity planning and control mechanisms and monitored interbank transactions.

Tutor في Accessible Learning Center , Wilfrid Laurier University Waterloo
  • يناير 2015 إلى
Management Trainee في Saudi Pak Industrial and Agricultural Company
  • يناير 1999 إلى
  • إلى

Major Research Paper ‘Global Investing: Pricing of country specific social and financial factors by US. Investors’. The paper identifies a comprehensive set of social and financial risk factors and studies how they impact exchange traded fund and closed ended fund returns to assess the pricing of these risks by US investors. In an attempt to determine whether social or financial factors have a greater impact on returns, the paper isolates the effects of the two sets of factors from the perspective of both closed ended funds and exchange traded funds.
•An in depth study of the Micro Banking system in Pakistan and the Nobel prize winning Grameen Bank model, emphasizing the importance of inclusive banking.
•Event study (using Stata) on the impact of stock splits on returns for S&P, and NYSE listed companies from the time period 1985-1990.
•A research on the market anomaly of the short term momentum and long term reversal effects of stock returns using a 12 year window and NYSE and S&P 500 listed companies.
•A study on the accounting practices of Suncor Energy with a focus on reformulation of Accounting Statements to detect earnings management. The study probed into the differences between accounts reported in the financial statements and accounts retrieved from The Wharton database.

الخلفية التعليمية

دكتوراة, Finance
  • في Wilfrid Laurier University Waterloo
  • أكتوبر 2014

GPA 11.15 out of 12) Passed CFA Level 1 . (Currently preparing for CFA Level 2) 2000

دكتوراة, MBA
  • في Quaid-e-Azam University
  • يناير 2001
بكالوريوس,
  • في University of Punjab
  • يناير 1997

Specialties & Skills

Financial Modeling
Valuation
Financial Analysis
Research
ACCOUNTANCY
BILLING
BUSINESS RESEARCH
FINANCE
FINANCIAL ACCOUNTING
FINANCIAL MANAGEMENT
MARKETING
SEMINARS

اللغات

الانجليزية
متمرّس
المالية
مبتدئ
الأوردو
متمرّس