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Candidate

Female, 39 years, born on 29 June 1985

Considers offers

Germany, willing to relocate, prepared for business trips

The approximate area of the job search is specified

CFO, Finance Director,Head Of Controlling, Head of Finance

9 000  in hand

Specializations:
  • Chief financial officer (CFO)
  • Financial manager

Employment: full time, part time, project work

Work schedule: remote working, rotation based work

Work experience 17 years 9 months

October 2019currently
5 years 7 months

Germany

Team lead finance performance management
- Working Capital, liquidity and capital efficiency analysis as well as identification of possible risks - Manage working capital elements in the monthly forecast process for the Group and BU’s - Work coordination of a cross-functional group of experts and monitoring of working capital improvements while combining operational process excellence and financial solutions. - Drive and implement initiatives to reduce receivables and accrued revenue - Participate in setting the strategy for each BU and functions, operational decision making and influencing decisions
October 2017October 2019
2 years 1 month
Wasco Energy Group of Companies (NS2 Project)

Germany

Senior Financial Controller
- Supervision of Cash Forecast production - Review variance analysis such as Purchase Price Variance, cost revaluation, Invoice to PO price variances - Translating monthly financial results to higher management - Leading budgeting process; ensuring greatest possible forecast accuracy - Highlighting cost areas of concern and suggesting areas of improvement - Planning and Monitoring company's liquidity - Networking within different departments with regards to establishing monthly evaluation of work done, providing various financial recommendations and invoice control - Optimize the infrastructure (reporting, planning, forecast, analysis) to measure business performance and support business decisions
February 2017October 2017
9 months
Autodoc Gmbh

Germany

Finance Business Partner
- Co-ordinate the development and monitoring of budget/forecasts - Set up and management of controlling department - Cash management, monthly closing - Provide analysis of potential cost savings and advise on implementation strategy - Provide financial and analytical support to the business
November 2015January 2017
1 year 3 months
Applus Velosi

UAE

Finance Controller
- Networking within the Finance team and to the wider business - Manage the cost forecast modeling process to ensure timely and accurate P&L projections are produced - Co-ordinate and lead the annual financial planning/budgeting process ensuring alignment with stakeholders - Manage all accounting operations including Billing, A/R, A/P, and GL, Cost Accounting and Revenue Recognition - Assure a complete and smooth transfer of the Accounting duties to the Shared Service Center - Preparation and management of Monthly financial reporting & forecasting for the operational aspects of the business and provide clear explanations for identified variances between budget and forecast, including management of operations risks & opportunities - Monitor & control the banking activities, Opex and Capex of the organization - Business traveling across the region : UAE, Qatar, Oman, Saudi Arabia (60%+) - Support the business by involvement in adhoc projects
September 2013October 2015
2 years 2 months
Romadee Group

UAE

Finance Manager
- Cash forecast and management - Oversee and supervise expenditures within allotted budget - Create budgets and track expenditures - Supervise preparation of all monthly and annual finance reports - Supervise administrative functions to ensure smooth and efficient operations of the organization - Identify and resolve financial and administrative issues
August 2012August 2013
1 year 1 month
Hospitality Dynamics

UAE

Internal Auditor/Accountant
- Maintaining the database of all financial transactions in Peachtree system - Formulation and reconciliation of P&L statements, Balance Sheet and other month closing and accounting reports - Scrutinized all documents received for calculation or information accuracy. - Reconciliation of all bank statements, petty cash statements, cheques with bank statements - Provided Financial Assistance to Finance Director
August 2007July 2012
5 years
Canarus Trading Inc.

UAE

Accountant
- Monthly cash flow reporting to General Accountant from the HQ office in Canada - Involved in Budgeting and monitoring of administration and distribution of expenses - Formulation of Profit & Loss account and Balance Sheet. - Assist General Accountant from the HQ office in Canada in all aspects of financial reporting - Formulation of payments and cheques, Bank Reconciliation Statements - Administrative procedures including employment agreements and all other contracts of the organization. - Managed all Employee related issues and prepare the leave schedules for all employees. - Analyzed and reconciled the employees’ benefits books.

Skills

Skill proficiency levels
Исполнительность

About me

FP&A, Project Management, Business Partnering, Budget & Forecast, Financial controller, Cash management

Higher education

2013
Heriot-Watt University, Dubai
Finance, MSc
2007
Saint-Petersburg State University, Russia
Mathematics and Computer Sciense, MSc

Languages

RussianNative


EnglishC2 — Proficiency


FrenchA1 — Basic


Citizenship, travel time to work

Citizenship: Russia

Permission to work: Austria, Czech Republic, Finland, France, Germany, Russia, Sweden

Desired travel time to work: Doesn't matter