Championed treasury and finance operations with comprehensive oversight of liquidity planning, financial reporting,
budgeting frameworks, and banking instruments. Delivered IFRS-aligned financial statements, strengthened audit readiness,
and developed high-impact MIS reporting structures to enhance fiscal visibility and strategic agility.
• Collaborated closely with the Finance Manager to elevate reporting accuracy and streamline treasury workflows.
• Produced IFRS-compliant financial statements, including balance sheet, profit & loss, and cash flow statements with
analytical precision.
• Architected MIS dashboards and financial intelligence reports, integrating AR/AP reconciliations and banking
analytics.
• Facilitated internal and external audits through comprehensive documentation, reconciliations, and compliance
alignment.
• Governed treasury operations including cash flow forecasting, liquidity optimization, and capital deployment
strategies.
• Administered complex banking transactions, including Letters of Credit (LC), Letters of Guarantee (LG), under UCP
600 compliance.
• Processed financial instruments such as TT, LATR, performance guarantees, and bid/tender securities.
• Partnered cross-functionally with procurement and operations teams to synchronize funding requirements and
working capital cycles
• Orchestrated project-wise fund allocation and disbursement strategies, ensuring seamless support for operational
expenditures and timely settlement of financial obligations.
• Collaborated cross-functionally with Operations and Procurement teams to evaluate project funding requirements,
driving effective cash flow planning, forecasting, and optimization.
• Administered petty cash controls and executed vendor payments via Cheque, TT (Telegraphic Transfer), and LC
(Letter of Credit), ensuring strict adherence to financial policies, compliance standards, and audit requirements.
• Managed end-to-end payroll processing, including salary preparation, WPS compliance, employee benefits, leave
settlements, and final settlements.
Key Achievements:
• Optimized cash flow management, maintaining liquidity coverage above 1 .5x and ensuring uninterrupted
operations.
• Successfully managed banking facilities and trade finance instruments exceeding QAR X million annually.
• Improved accuracy and timeliness of financial reporting by 25%, enhancing decision-making for senior
management.
• Led implementation of MIS reporting frameworks, reducing reporting cycle time by 30%.
• Facilitated zero-penalty compliance with banking and regulatory requirements (UCP 600, IFRS).
• Strengthened audit readiness, contributing to clean audit reports for consecutive years.
- مجال الشركة:
- الهندسة المدنية