SAMI SABI
About Candidate
To embark on a career in which I can apply and improve combination of knowledge and enthusiasm in a challenging environment using my Management, Financial and Computer skills.
Education
Experiences
- Develop and implement financial strategies, policies, and procedures to ensure the organization's financial health and compliance with regulations. - Prepare and present financial reports, forecasts, and budgets to the executive team and board of directors. - Lead and mentor a team of finance professionals, ensuring their development and performance. - Manage financial risk and identify opportunities to optimize the company's financial performance. - Oversee financial accounting, reporting, and taxation, ensuring accuracy and compliance. - Monitor and manage cash flow, investment strategies, and working capital. - Collaborate with other departments to drive cost efficiency and financial transparency. - Evaluate and advise on potential mergers, acquisitions, or other financial transactions. - Stay current with industry trends, regulations, and best practices to ensure the company's financial competitiveness. Budget Management: - Create and manage budgets to optimize financial performance. - Monitor expenses and revenues to ensure they align with budgetary goals. - Forecasts & reforecast Financial Strategy: - Develop and implement financial strategies to drive business growth and profitability. - Provide financial guidance and recommendations to the executive team. - Provide the CEO/CFO with flash reports about the company’s performance. Risk Management: - Identify and assess financial risks and implement strategies to mitigate them. - Ensure compliance with financial regulations and reporting requirements. - Managing External Auditrequirements.
▪ Provide the CEO/CFO with daily summary for the most critical issues facing the business and highlights any urgent risks and actions needed. ▪ Attending the monthly top management meeting and representing the monthly financials. ▪ Prepare 5 years business plan & prepare yearend appraisals. ▪ Provide any requested study for any new merging and acquisitions. ▪ Reviewing SLAs. ▪ Obtain and maintain a thorough understanding of the financial reporting and general ledger structure. ▪ Ensure an accurate and timely monthly, quarterly and year end close. ▪ Confirms financial status by monitoring revenue and expenses; coordinating the collection, consolidation, and evaluation of financial data; preparing special reports. ▪ Responsible for check and review of all income, expenses, assets and liabilities in accordance with Budget, policies and procedure and International Accounting Standards. ▪ Reviewing Financial Management Reporting ▪ Monitoring of the monthly Management Reporting Package ▪ Ensure financial management reporting tolls and processes are in place to support the ongoing and future needs. ▪ Present year-to-date financials with accompanying analysis of results ▪ Finalizes Provision for Rent Breaks/Vacancies and Provision for Bad Debts ▪ Prepares regular reporting and analysis, including key metrics reports, and conduct ad hoc financial analysis as required by Corporate Finance CFO. ▪ Directs internal audits involving review of accounting and administrative controls within our assets. ▪ Coordinates preparation of external audit materials and external financial reporting. ▪ Monitor and analyze department work to develop more efficient procedures and use of resource while maintaining a high level of accuracy. ▪ Budget and forecast. ▪ Manage the preparation of annual budget and forecast for all the assets in EMG except TDM. ▪ Report to management on variances from established budget/forecast with analysis.