Seeking a job opportunity by expanding upon related education and skill towards building a career in finance.
Financial management of customer projects across 7 entities, cost control, supplier accounts reconciliations, managing workflows and purchases with all the suppliers and making sure they comply with company policies. Working closely with finance team to manage budgets effectively.
Managing investment allocations for a family fund. Constructing, implementing investment strategies and processes to meet goals and constraints. Analyzing 10-k and 10-Q Reports, calculating intrinsic value of companies and investing in undervalued stocks compared to their true intrinsic value. Maintained confidentiality of sensitive information as part of a commitment to upholding professional ethics.
Preparation of business activity reports, financial statements reporting, preparation of annual budget, trial balance reconciliations, bank account reconciliation, profit and loss income statement reporting, cost control, ensuring that the reported results comply with generally accepted accounting principles (GAAP).
Managing Receivables of the firm, Reconciliation of client’s accounts, Reporting to the board of directors, studying financial positions and statuses of clients and issue for them credit limits. Maintained up-to-date knowledge of relevant legislation to ensure company compliance at all times.
Data entry, Reconciliations:(bank, clients, suppliers), Profit and loss income statement reporting, Financial Planning and financial statements projecting, Cost control, Quarterly results declarations. Implemented robust compliance procedures to prevent regulatory breaches.
Managing Receivables of the whole firm, Managing client’s bonds status, Selling risky bonds to investment banks, Insurance accounts reconciliation, Bank accounts reconciliation, Reporting to the board of directors.