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Skills

  • Account
  • Analysis
  • Budget
  • Business Planning
  • Cash Flow Forecasting
  • Data Analysis
  • Derivatives
  • Finance
  • Financial System Implementation
  • Forecasting
  • Management
  • Ms Excel Pivot Tables
  • Risk Management

Services

  • Complete detailed analysis of business

    $40/hr Starting at $40 Ongoing

    Dedicated Resource

    Cash flow forecasting, management and optimisation across groups of company and with different currency. Credit line negotiations (banks and asset lender). Distressed finance. Fx heading and risk management...

    AccountAnalysisBudgetBusiness PlanningCash Flow Forecasting

About

RESULTS-ORIENTED CFO ? +10 YEARS’ SENIOR FINANCIAL EXPERIENCE ON A GLOBAL STAGE WITH STRONG FX AND DERIVATIVES MARKETS BACKGROUND

Commercially and Financially astute Director and Qualified Accountant (CMA/CIMA) with extensive success translating ambitious vision into strategic and multifaceted plans to deliver growth; driving revenue and enhancing operational standards, productivity and efficiency, underpinned by a thorough grounding in all aspects of financial management, governance and reporting. Board-level functions, organisational governance, risk and audit issues, managed more than 100 staff throughout the world (including Europe, Asia and Australasia). Strong technical IT software skills. Multilingual (speaks fluent English / Italian and basic French) and whose recent highlights include:

• Played an integral role with the key stakeholders including Banks, external advisors, external auditors, private equity investors and shareholders.
• Performed due diligence, facilitated Mergers and Acquisitions / takeovers and coordinated financial transactions in the reorganization process.
• Led company legal issues with direct engagement with external company lawyers and legal advisors.
• Set up group financial accounting report system, coordinating the year end Accounts consolidation process across the different companies following the Uk GAAP requirements.
• Led cash-flow modelling, short and long term forecasting and the development of systems and controls.
• Completed detailed analysis of business activities to spot opportunities and risks and all aspects of financial business planning (including tax and treasury issues).

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