Summary of Career
1. Prepare, review, and analyze financial statements, balance sheet, P&L, and cash flow in compliance with IFRS and local GAAP.
2. Manage budgeting, forecasting, and variance analysis, providing management with insights on financial performance and cost control.
3. Implemented and optimized ERP systems (SAP B1, Sage, Xero, QuickBooks, Dynamics) to improve efficiency, transparency, and financial control.
4. Oversee month-end and year-end closing, account reconciliations, journal entries, accruals, and general ledger accuracy.
5. Lead tax compliance including corporate tax, VAT, and withholding tax filings, ensuring adherence to regulatory deadlines.
6. Coordinate and manage external audits and internal audits, ensuring proper documentation, schedules, and timely audit completion.
7. Develop and implement internal controls, accounting policies, and standard operating procedures to strengthen financial governance.
8. Supervise and guide finance and accounting teams, monitor daily operations (AP, AR, payroll, bank reconciliation), and ensure process efficiency
9. Manage treasury, banking relationships, and cash flow planning, optimizing working capital and liquidity management.Conduct financial modeling, feasibility studies, and investment analysis to support decision-making for business expansion and profitability.
10. Proven finance leader with 20+ years of experience across diverse industries including Banking & Financial Services, Real Estate & Construction, Oil & Gas, Retail & E-commerce, Technology & SaaS, Logistics & Supply Chain, Healthcare, Hospitality, and Professional Services.