Chief Financial Officer & Deputy CEO
ACC.WLL
Total years of experience :20 years, 9 Months
• Planning of finance functions of the company
• Developing, monitoring, and implementing strategic business plan.
• Assisting in formulating company strategic investment plan and supporting tactical initiatives.
• Managing capital requests and budgeting functions.
• Responsible for making key decisions concerning financial management
• Overseeing all financial functions and procedures in the company and subsidiary firm.
• Reporting financial results to the board of directors
• Responsible for mitigating key elements of company’s risk
• Responsible in managing company’s financial risks and advising on company investment.
• Monitoring cash balances and cash forecasts.
• Maintaining banking relationships and arranging and advising on debt and equity financing.
• Responsible for preparation of company budgets and financial forecasts and consolidating budgets from departmental managers.
• Performing scenario analysis and assisting in creation of financial models for the business.
• Developing and implementing financial and administrative procedures including payroll, bookkeeping, financial reporting, budget, strategic planning, and developing business plan.
• Preparing comprehensive financial reports on quarterly basis and ensuring that the company has cleared all the outstanding payments.
• Coordinating activities of various clerical departments or workers within departments.
• Controlling and implementing all financial decisions in the company including revenue, receivables, payable, payroll, general ledger, and cash/banking.
• Responsible for verification of all payments authorized by the company
• Managing all the administrative functions of the company.
• Performing marketing research and industry reviews
• Conducting financial analysis and company financial evaluation.
• Analyzing and evaluating investment opportunities within the target market.
• Maintaining executive responsibility for financial operations of the company including capital expenditure, debt levels, working capital, budgeting and general accounting.
• Developing and advising on business financial plans with a view of aligning them to strategic business plan, company growth, and market opportunities.
• Establishing and maintaining stable cash flow management policies and procedures as well as ensuring cash resources are available for daily operation of the company.
• Managing outside lending and equity relationship with shareholders and investors.
• Evaluating and managing company financial functions and directing preparation for annual company audits.
• Ensuring records and financial systems of the firm adhere to the generally accepted auditing standards.
• Evaluating the company performance against goals and allocating financial resources as well as assessing financial policies affecting the company employees.
• Participating in recruitment, training, supervising, and evaluating department staff.
• Evaluating and analyzing financial opportunities and investment proposals.
• Preparing company budgets, scheduling expenditures, and analyzing variances.
• Gathering vital business, financial, services and operation information as well as preparing feedback on company performance.
• Managing all financial and accounting functions including budgeting, purchasing, accounting for payable, and receivables.
• Coordinating, supervising, and performing all financial management tasks of the company and its subsidiary companies
1:Giving lectures in Auditing, Accounting, International Accounting, Management Accounting, Managerial Accounting and Governmental Accounts.
2:Analyze data for academic planning to enhance learning skills of students.
3:Enhance teaching skills with the help of information technology.
4:Advise/assist students during the course to solve any inquiries.
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