Sachin Bhadreshkumar Shah Shah, Finance Manager

Sachin Bhadreshkumar Shah Shah

Finance Manager

Gulf General Investment Co. (P.S.C)

Lieu
Émirats Arabes Unis - Abu Dhabi
Éducation
Master, Chartered Accountant
Expérience
18 years, 10 Mois

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Expériences professionnelles

Total des années d'expérience :18 years, 10 Mois

Finance Manager à Gulf General Investment Co. (P.S.C)
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis avril 2014

 Looking after all the real estate projects income and payments.
 Looking after the payments to all off plan properties through Escrow mechanism as per RERA Rules.
 Handling the RERA audit for all the ongoing projects.
 Dealing with various banks and Dubai Land Department.
 Looking after the consolidation of books of accounts of 15 subsidiary companies with the holding company GGICO.
 Instrumental in implementing the Microsoft AX and CRM ERP system in the company.
 Looking after the inter group payments to all the subsidiaries and inter group reconciliations.
 Submitting GGICO’s consolidated financial statements to Dubai Financial market (DFM) on a quarterly basis in XBRL format.

Chief Accountant à Al Nasser investments L.L.C.
  • Émirats Arabes Unis - Abu Dhabi
  • Je travaille ici depuis janvier 2009

January 2009 till Date Al Nasser Investment L.L.C. Abu Dhabi UAE


Chief Accountant

• Ensure timely preparation of reports, financial statements and MIS.

• Present financial results and performance measurement to the Management so that they remain aware and can take corrective action.

• Cash Flow Management - To monitor inflow and outflow of funds and ensure optimum utilization of available funds through better planning of receivables, payables & overheads.

• Budgeting & MIS - Formulation capital and revenue Budget and their analysis with actual. Critical analysis of MIS such as monthly P & L account, Balance Sheet, Inventory and Receivables Reports for Management Review.

• Controlling the Accounts Department for the proper maintenance of books of accounts, Co-ordination with other departments.

• Administratively co-ordinate with Banks, Internal & External auditors .

• Have exposure to work with KPMG and have done Interim and Final audit with KPMG auditors.

• Good knowledge of financial accounting & reporting, cost accounting, budgeting & forecasting, Basic knowledge of IFRS and IAS.

Able to handle Accounts / Finance Department independently.

Assistant manager à Adani Enterprise Limited
  • Inde - Ahmedabad
  • juillet 2005 à janvier 2009

July, 2005 till January 2009. Adani Enterprises Ltd. Ahmedabad, India



Assistant Manager Treasury - Finance & Accounts

 Handling Equity Research - Stock Research, Sectorial Analysis and Coverage of major economic events.
 Preparation of hedging strategies using derivative products and instruments like futures and options
 Handling Mutual Fund Investment Solely.
 Involved in trading and investing in above mentioned different equity products based on internal research.
 Involved in investment decisions through structured products of different types of financial instruments like shares, debentures, options etc.
 Involved in liasioning with various financial institution like Banks, Brokers, NBFCs, Investment intermediaries etc.
 Involved in different compliance & legal procedure at the group level like Open offer, Equity placement and stake sale of Adani Retail.
 Overseeing budgetary planning, forecasting, and cash flow analysis.
 Instrumental in structuring equity module of CFM during implementation of SAP.
 Facilitating in preparation of monthly, quarterly and annual MIS & balance sheet of Equity SBU and all taxation issues relating to equity.
 Instrumental in the fund raising activity to the tune of Rs 400 crs in Reliance Power IPO and also involved in the IPO procedure of the group company Mundra Port and SEZ.
 Handling the Investor Relation Ship Cell of the Adani Group companies.
 Involved in the consolidation of the group companies, subsidiary companies, Joint ventures etc.

Éducation

Master, Chartered Accountant
  • à Institute of Chartered Accountants of India
  • mai 2005

January 2009 till Date Al Nasser Investment L.L.C. Abu Dhabi UAE Chief Accountant • Ensure timely preparation of reports, financial statements and MIS. • Present financial results and performance measurement to the Management so that they remain aware and can take corrective action. • Cash Flow Management – To monitor inflow and outflow of funds and ensure optimum utilization of available funds through better planning of receivables, payables & overheads. • Budgeting & MIS – Formulation capital and revenue Budget and their analysis with actual. Critical analysis of MIS such as monthly P & L account, Balance Sheet, Inventory and Receivables Reports for Management Review. • Controlling the Accounts Department for the proper maintenance of books of accounts, Co-ordination with other departments. • Administratively co-ordinate with Banks, Internal & External auditors . • Have exposure to work with KPMG and have done Interim and Final audit with KPMG auditors. • Good knowledge of financial accounting & reporting, cost accounting, budgeting & forecasting, Basic knowledge of IFRS and IAS. Able to handle Accounts / Finance Department independently. July,2005 till January 2009. Adani Enterprises Ltd. Ahmedabad, India Assistant Manager Treasury – Finance & Accounts  Handling Equity Research – Stock Research, Sectorial Analysis and Coverage of major economic events.  Preparation of hedging strategies using derivative products and instruments like futures and options  Handling Mutual Fund Investment Solely.  Involved in trading and investing in above mentioned different equity products based on internal research.  Involved in investment decisions through structured products of different types of financial instruments like shares, debentures, options etc.  Involved in liasioning with various financial institution like Banks, Brokers, NBFCs, Investment intermediaries etc.  Involved in different compliance & legal procedure at the group level like Open offer, Equity placement and stake sale of Adani Retail.  Overseeing budgetary planning, forecasting, and cash flow analysis.  Instrumental in structuring equity module of CFM during implementation of SAP.  Facilitating in preparation of monthly, quarterly and annual MIS & balance sheet of Equity SBU and all taxation issues relating to equity.  Instrumental in the fund raising activity to the tune of Rs 400 crs in Reliance Power IPO and also involved in the IPO procedure of the group company Mundra Port and SEZ.  Handling the Investor Relation Ship Cell of the Adani Group companies.  Involved in the consolidation of the group companies, subsidiary companies, Joint ventures etc.

Specialties & Skills

Fundraising
Budgeting
Cash Flow Forecasting
Microsoft Office
Cash Flow Management
MS office
Accounts, MIS, Budgeting, Fund Raising, RERA rules,Escrow mechnisum.

Langues

Anglais
Expert

Adhésions

ICAI
  • 123570
  • May 2005

Formation et Diplômes

Communication Skill (Formation)
Institut de formation:
The Institute of chartered accountants of India
Date de la formation:
August 2005