Sarah Javaid
Financial Analyst
Dubai
Summary of Career
1. Presenting 5+ Year of diversified Accounting, Finance Management and Analysis, Business Management, Performance Management experience within various industries environments including manufacturing of ceramics, Logistics, Water bottling and Business Solutions.
2. Having experience of preparing all type of business reports including Financial Statements, Profit & Loss, Cash flow, Bank reconciliation, Trial Balance, Inventory valuation, Product Profitability & Cost Analysis, Sales & Cash forecast, A/P Aging Detail & Vendor Balance Details, A/R Aging Detail & Customer Balance Details, Scorecard & Financial Analysis, Budgeting & Variance Analysis.
3. Recording the financial transactions of a business in bookkeeping software & spreadsheets, arranging payment of accounts, Preparing and sending invoices and receipts to debtors, processing payroll and maintaining employee records, Carrying out bank reconciliations, Checking figures and reporting for accuracy, Reporting any irregularities in data to management, Producing balance sheets, income statements and other financial documents.
4. Developing professional relationship with client by meeting the needs of stakeholder and senior management.
5. Developing and evaluating the Strategic Options deemed fit to the overall goal of the organization.
6. Experience in Microsoft Word, AX Microsoft Dynamics, Alpha Program.
7. Assist and support audit team in their day-to-day functions
8. Project and Investment Appraisal.
9. Development of Financial Framework
10. Formulated, Applied and evaluated Financial and Non-Financial KPI’s
Experience as Group Financial Analyst
01 June 2019
31 October 2019
• Reporting to management and stakeholders, providing advice how the company and future business
decisions might be impacted.
• Evaluating, Formulating and applying the strategic decisions by using standard finance models.
• Collecting, analyzing and evaluating the financial information.
• Formulating, applying and evaluating a proper KPI structure.
• Feasibility study of the projects and the whole business.
• Preparing, reviewing, managing and monitoring budgets.
• Cost Analyzing and restructuring.
• Preparing financial statements.
Experience as Group Financial Analyst
03 September 2016
30 May 2019
• Reporting to management and stakeholders, providing advice how the company and future business
decisions might be impacted.
• Manage Payable by Receiving, recording and processing all invoices, expense forms and requests for payment.
• Formulated, Applied and evaluated the strategic options by using finance models.
• Asset registers management by applying international accounting standard.
• Proposed, Applied and Evaluated the Fair Transfer Pricing Method.
• Formulated, Applied and evaluated Financial and Non-Financial KPI’s.
• Collecting, interpreting and reviewing financial information.
• Preparing, reviewing, managing and monitoring budgets.
• Developing strategies that work to minimize financial risk.
• Effectively measured the performance of the entity.
• Cost Accounting, Analysis and Restructuring.
• Bank Management (Bank Reconciliation).
• Predicting future financial trends.
Experience as Financial Analyst and Accountant
07 November 2017
23 March 2018
• Prepared the Financial Statement for the year end 2017.
• Suggested possible methods to minimize the cost.
Bachelor 01 August 2010
Majors : Finance and Cost ManagementOther 01 July 2016
ACCA - Association of Chartered Certified Accountant