ACMA-qualified finance professional with 20+ years of experience in financial management, treasury operations, banking, and regulatory compliance. Demonstrated expertise in cash flow management, liquidity monitoring, financial reporting (IFRS), foreign exchange (FX) operations, and credit analysis. Strong background in banking operations, audit coordination, and internal controls with proven ability to support strategic decision-making. Proficient in ERP systems (SAP S/4HANA, Microsoft Dynamics 365), advanced MS Excel, financial modeling, and Power BI. Seeking opportunities in Treasury, Finance, or Banking Operations within international organizations.
Core Competencies
Treasury Operations & Liquidity Management
Cash Flow Forecasting & Working Capital Management
Financial Reporting (IFRS) & MIS Reporting
Foreign Exchange (FX) Operations & Trade Finance
Credit Analysis, Documentation & Risk Assessment
Budgeting, Forecasting & Variance Analysis
Regulatory Compliance & Internal Controls
Audit Management (Internal & External)
ERP Systems: SAP S/4HANA, Microsoft Dynamics 365
Data Analysis: Advanced Excel, Power BI