H.E. Chairmen’s Financial Advisor
Government
مجموع سنوات الخبرة :9 years, 2 أشهر
Establishing Investment fund with the capital from the private sector
Creating and drafting executive-level delegation &
Work with different governmental investment & legislative agencies for investment packages.
Developing financial investment plans to best land-use model & Negotiate investment opportunities.
Leading the Audit plan & issuing statutory financials.
Leading the transformation unit: IT, Legacy system, HCM & ERP.
Manage asset mixed-used and cost restructuring feasibility studies, and financial position setting investments sheet.
Rising funds through establishing Mega-Real Estate-project mixed-used fund “SPV & JV” through private banking.
• Company Financial Strategic Vision establishment & Full IFRS conversion Implementation.
• Treasury management & cashflow. Tax & Zakat, and Governmental Agency Reports issuance.
• Attend Board and Subcommittee meetings, being the lead Executive Officer in the Audit/Finance Committee.
• Creating and drafting Executive Level Delegation “DOA” & Institutional Organization Policy procedures.
• Developing Financial Investment Plans to Best Land Use Model & Negotiate investment opportunities.
• Led the Strategic transformation unit: IT, Legacy system, HCM & ERP System.
• Led the Audit Plan & Issuing Statutory Financials and created institutional Budgeting.
• Developing new business & funding opportunities, drafting prospective programmatic budgets.
• Oversee the Executive Management and coordination of all fiscal reporting activities for the Institution.
• Co-manage the entire Finance Department and Co-supervise all audit and internal control processes.
• Establishing the entire Treasury Department, drafting its policy, procedures, investment plan, and strategy.
• Treasury management, Bond issuance & Credit line establishment, for mega projects over 2.5 billion.
• Develop and maintain relationships with regulatory and banking organizations partnership.
• Managing, supervising, and monitoring VAT & Zakat monthly along with Financial Reporting.
• Cash-flow Forecast positions, related borrowing needs, and funds available for investments & operations.
• Supervising bank accounts reconciliation & financial accounting booking of accruals.
• Maintain a system of policies & procedures that impose an adequate level of control over Treasury & Finance.
• Strategized, analyzed, and report financial findings to the CEO & BOD.
• Manage payroll & compensation for over 22K employees, increasing cash usage utilization efficiency.
• Supervising, analyzing, and managing financial controller reports quarterly.
• Centralizing all Treasury operations under the Head-office, utilizing Oracle Cash Management Model.
• Improve financial status by analyzing results, monitoring variances, identifying trends.
• Develop budgets that meet the requirements of company projects & departments.
• Company Representative and Lead of the Liquidity Executive Team under PWC.
• Co-Coordinate with external financial entities on behalf of the company.
Assisted Finance Manager with budgeting, preparation and planning quarterly updates.
• Analyzed and collateralized debt obligations ranging from $1 Million to $30 Million dollars each.
• Analyze financial data and create financial models for decision support
• Worked closely with the accounting team to ensure accurate financial reporting
• Evaluate financial performance by comparing and analyzing actual results with plans and forecasts.
• Conducted and consulted merger and acquisitions; construct, analyze, and budgeting different project valuations.
• Collaborated with the finance team to develop business unit reports for projecting future enterprises and budgeting.
Analyzed financial modeling for equity evaluation.
• Handled for project valuation and forecasting Discounted Free Cash Flow “DCF”.
• Built comprehensive financial operating models in ‘Excel Plus utilizing’ the Crystal-Ball Tool.
• Researched, prepared and presented competitors stock market evaluations.
• Coordinate logistics for onsite functional due diligence.
• Maintain a strong financial analysis foundation creating forecasts and models
• Provide analysis of trends and forecasts and recommend actions for optimization
• Analyze past results, perform variance analysis, identify trends, and make recommendations for improvements
Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports
• Drafted and audited financial statements for Private Divisions.
• Established Capital Budgeting based on new projects using the Added Value Economical Approach. • Prepares asset, liability, and capital account entries by compiling and analyzing account information. • reconciles financial discrepancies by collecting and analyzing account information • Maintains accounting controls by preparing and recommending policies and procedures. • Guides accounting clerical staff by coordinating activities and answering questions
Drafted and reviewed important business communication on behalf of the manager.
• Managed front-office responsibilities, including scheduling appointments with senior business partners.
SELECTED COURSE WORK
Pepperdine University
Bachelor of science degree in finance and economics