Assistant Vice President
Prime Holding
Total des années d'expérience :11 years, 2 Mois
Participating in deal sourcing, deal negotiation, and deal structuring process, including negotiating ToRs, terms of agreements, and transaction timetable as well as the structure of executing the transaction.
• Leading, oversaw and managed investment banking team members.
• Performing and reviewing valuation studies in different industries after;
o Analyzing the company's past performance to identify the key drivers of the company results.
o Cooperate with the market research team, review, and adjust the market study to better understand the company’s outlook.
o Developing a business plan based on industry & company analysis and estimating the company top line figures and extracting cash flow during the forecast period.
o Determining the appropriate discount rate based on the company capital structure.
o Developing a moderately complex financial model to estimate the company’s fair value in several techniques including DCF, RI, NAV, and Market Multiples.
• Running meetings with clients and potential clients’ top management to discuss current and potential transactions and their associated synergies.
• Develop LBO & VC models for acquisition purposes, especially in Fintech and Consumer finance industry.
• Preparing investment teasers and handling confidential and sensitive client and investor information and handling queries.
• Coordinating between the involved parties in the M&A process to ensure a smooth closure.
• Provide on the job training to junior staff.
Coaching CFA level one and Level two candidates for the CFA exams for the topics; Cororate finance, fixed Income, Portfoilio Management, Derivatives, and Quantitative methods
Participated
Participate in Deal Sourcing activities and implementing Mergers & Acquisition
transactions.
• Performing valuation studies in different industries after;
• Analyzing the company's past performance to identify the key drivers of the company results.
• Cooperate with the market research team, review, and adjust the market study to better understand the company’s outlook.
• Develop a business plan based on industry & company analysis and estimate the company top line figures and extract cash flow during the forecast period.
• Developed moderately complex financial model to estimate the company’s fair value in several techniques including DCF, NAV, and Market Multiples.
• Determine the appropriate discount rate based on the company capital structure.
• Write up feasibility studies and fairness opinion reports.
• Conducted impairment test in different industries.
Performing valuation studies in different industries after,
-Analyzing the company's past performance to identify the key drivers of the company results.
-Cooperate with the market research team, review and adjust the market study to better understand the company’s outlook.
-Develop a business plan based on industry & company analysis and estimate the company top line figures and extract cash flow during
the forecast period.
-Developed moderately complex financial model to estimate the company’s fair value in several
techniques including DCF, NAV, and Market Multiples.
-Determine the appropriate discount rate based on the company capital structure..
-Write up feasibility studies and fairness opinion reports.
Create and implement a yearly budget system in cooperation with all company departments in accordance with the policy and procedures to ensure:
- Achieve the overall strategy and the company objectives
- Evaluate performance for different factories and departments
- Monitor and follow up the departmental key performance indicators.
- Preparing the forecast guidelines through variable economic situation, analyzing the strategy and top management objectives to complete budget
Controlling the cost structure by implementing the standard cost, comparing the actual, Standard on activity basis. Calculating variances, interpreting and investigation reasons and corrective actions through defined procedures.
Monitoring the treasury situation and prepare the cash inflow projections and enhance the usage of
Keep an eye on the company investments and the economy indicators - interest rate, exchange rate,
etc. to evaluate the best investment opportunities.
Review an approve the financial reports regarding the financial reporting, investment situation, audit, and internal control polices and procedures
Responsible for entire financial activities including but not limited to accounting activities, Internal controls, tax, cash and audit management.
Prepare the financial statements on quarter basis and and produce the pre-audit financial statements for the external auditor.
Supervise Financial Accounting activities including mainly Accounts payable and receivable and prepare the bank statements.
Review and approve of financial transaction to maintain the proper accounting records in accordance with Accounting standards
Develop and document business processes and accounting policies to maintain and strengthen internal controls.
Communicate and maintain professional relationship with outside and governmental parties
Participated in planning and cost control process by preparing financial and operating budgets.
financial statements analysis and profitability measures
allocation of overhead costs to different products and distribution points.
monitored the inventory and the levels of carrying cost.
CFA charter holder
Certified Management Accountant, the Institution of Management Accountants “IMA”. Oct 2015, Licence number: 47013
Major : Accounting Grade : Good