c8757279-6bcc-445b-8248-d85f33715366

Andrew Smith


287 Custer Street, Hopewell, PA 00000

andrew_smith@example.com

(000) 000-0000

Professional Summary

I have enough experience on this job. I am flexible and easy to adapt the culture of the company. I am eager to join a respectable customer-focused financial institution as a Financial Manager. I am also detail-oriented with exceptional organization and communication skills with the drive to exceed expectations on every assignment. achieving the organizational goal in an effective and efficient manner.

Employment history

Financial Manager, Mraz, Wilkinson and O'Reilly. Betteton, Arizona
Nov. 2017 – Jun. 2018
  • Develop or analyze information to assess the current or future financial status of firms.
  • Communicate with stockholders or other investors to provide information or to raise capital.
  • Plan, direct, and coordinate risk and insurance programs of establishments to control risks and losses.
  • Review collection reports to determine the status of collections and the amounts of outstanding balances.
  • Prepare financial or regulatory reports required by laws, regulations, or boards of directors.
  • Examine, evaluate, or process loan applications.

Operational Manager, Moen Inc. Shelleybury, Michigan
Jan. 2016 – Jul. 2016
  • Identify case issues and evidence needed, based on analysis of charges, complaints, or allegations of law violations.Resolve problems concerning transportation, logistics systems, imports or exports, or customer issues.
  • Collaborate with other departments to integrate logistics with business systems or processes, such as customer sales, order management, accounting, or shipping.
  • Negotiate with suppliers or customers to improve supply chain efficiency or sustainability.
  • Supervise the work of logistics specialists, planners, or schedulers.
  • Ensure carrier compliance with company policies or procedures for product transit or delivery.

Education

Eastern Indiana Academy, South Cliftonburgh, West Virginia
MBA, Financial Management, Apr. 2015

The Gutkowski, Baileyfort, Nebraska
Financial Management, May. 2013

South Oklahoma Academy, Ozzieborough, Oregon
High School Diploma, Mar. 2009

Skills

Online Marketing

Project Marketing

Auditing

Communication

Organizing and Managing

e7184cae-8c76-4966-be83-190959e1ef53

Andrew Smith

Professional Summary

Client-centric finance professional with over 6 years of experience working within world-renowned organisations.  Committed to providing first-class customer service to deepen relationships with consumers and engage them in the products and services offered.  Expert in financial reporting, investments and financial planning.  Enthusiastic, results-driven leader with extensive success collaborating with subject matter experts to develop and execute creative solutions.

Employment history

Financial Manager, Nikolaus Group. West Machelle, Wyoming
Mar. 2020 – Present
  • Prepare financial or regulatory reports required by laws, regulations, or boards of directors.
  • Develop or analyze information to assess the current or future financial status of firms.
  • Evaluate data pertaining to costs to plan budgets.
  • Analyze and classify risks and investments to determine their potential impacts on companies.

Data Analyst, Muller Inc. North Elisabethburgh, Iowa
Oct. 2013 – May. 2014
  • Prepare plans of action for investment, using financial analyses.
  • Draw charts and graphs, using computer spreadsheets, to illustrate technical reports.

Education

O'Connell University, Karlberg, Virginia
MBA, Finance, Nov. 2012

Western Kuphal Academy, Port Haiside, California
B.com, Apr. 2010

Personal info


Phone:

(000) 000-0000

Email:

andrew_smith@example.com

Address:

287 Custer Street, Hopewell, PA 00000

Skills

Analytical skills

Management Experience

Financial Reporting

57351ccc-206f-44e0-a20e-28ba2ed134e2

Andrew Smith


287 Custer Street, Hopewell, PA 00000

andrew_smith@example.com

(000) 000-0000

Professional Summary

Client-centric finance professional with over 8 years of experience working within world-renowned banking institutions as a wealth management specialist.  Committed to providing first-class customer service to deepen relationships with consumers and engage them in the products and services offered.  Expert in loans, deposits, investments, financial planning, and mortgages.  Enthusiastic, results-driven leader with extensive success collaborating with subject matter experts to develop and execute creative solutions.

Employment history

Financial Manager, Kirlin-Pacocha. Bernierchester, Idaho
May. 2016 – Feb. 2017
  • Establish and maintain relationships with individual or business customers or provide assistance with problems these customers may encounter.

Accounting Officer, Thiel-Hansen. East Magdalen, New York
Nov. 2012 – Dec. 2012
  • Analysed and researched reporting issues to improve accounting operations procedures.
  • Prepare, examine, or analyze accounting records, financial statements, or other financial reports to assess accuracy, completeness, and conformance to reporting and procedural standards.

Education

Southern Wyoming College, Lake Tommyton, New Hampshire
Bachelor of Science, Accountancy, Jul. 2008

The Hickle University, Lake Eugenioberg, Illinois
High School Diploma, Jun. 2004

West Georgia Institute, Rosaleechester, New Hampshire
Elementary, Jan. 2000

Skills

Initiative

Numerical Abilities

Technical

Analytical

Communication Skills

253f2573-9bd3-4e4f-8d66-5cc9429a4f9b

Andrew Smith


287 Custer Street, Hopewell, PA 00000

andrew_smith@example.com

(000) 000-0000

Professional Summary

Financial Analyst equipped with the tools and knowledge needed to advance into senior-level roles within innovative, growth-driven companies.  Expert at developing and tracking budget expenses and strong ability to analyze and organize large data sets.  Deep technical knowledge with proficient use  Excel program.

Employment history

FINANCIAL MANAGER, Denesik-Goodwin. East Milo, Tennessee
Jun. 2019 – Aug. 2019
 
  • providing and interpreting financial information
  • monitoring and interpreting cash flows and predicting future trends
  • analysis change and advising accordingly
  • formulating strategic and long-term business plans 
  • analysis competitors and market trends
  • developing financial management mechanisms that minimize financial risk
  • conducting reviews and evaluations for cost-reduction opportunities
  • managing financial accounting, monitoring and reporting systems 
  •  managing budgets 
  • Ensure payment of foreign suppliers and receipt of goods 
  • cash management et daily bank reconciliation 
  • arranging new sources of finance for a company’s debt facilities 

sales & marketing financial controller, Hessel-Heidenreich. Terriberg, Wisconsin
Jul. 2018 – Aug. 2018
 
  • Preparing financial reports for sales and marketing department 
  • Analyzing financial data.
  • Monitoring internal controls.
  • Overseeing and preparing income statements.
  • Participating in budgeting processes.
  • Streamlining accounting functions and operations.
  • Developing plans for financial growth for sales and marketing department 
  • Coordinating audit processes. 
  •  Responsible for the annual marketing and sales , press and display budget process and creation in partnership with all responsible department managers and team members 
  •  Support the team in planning and  forecasting budgets for projects 
  •  communicate accounting and financial irregularities *
  • collect , analyze and synthesize data 
  • participate in PNL 

FINANCIAL MANAGER, Bradtke, Frami and Medhurst. Dorethachester, North Carolina
Aug. 2016 – May. 2018
  • Plan, direct, or coordinate the activities of workers in branches, offices, or departments of establishments, such as branch banks, brokerage firms, risk and insurance departments, or credit departments.
  • Prepare financial or regulatory reports 
  • Oversee the flow of cash or financial instruments.
  • Prepare operational or risk reports for management analysis.
  • Recruit staff members and oversee training programs.
  • Evaluate data pertaining to costs to plan budgets.
  • Develop or analyze information to assess the current or future financial status of firms.
  • Analyze and classify risks and investments to determine their potential impacts on companies.
  • Maintained integrity of general ledger, including the chart of accounts.
  • Analysed monthly balance sheet accounts for corporate reporting.
  • Generated financial statements and facilitated account closing procedures each month.
  • Created periodic reports comparing budgeted costs to actual costs.
  • Prepare and negotiate import files 

FINANCIAL MANAGER, Maggio, Wintheiser and Lebsack. New Howard, Idaho
Jan. 2018 – Feb. 2018
  • Modifie a comprehensive financial reporting package to reflect growing organisational complexity.
  • Filed tax returns and prepared governmental reports in compliance with strict standards.
  • Analyse monthly balance sheet accounts for corporate reporting.
  • Oversee the flow of cash or financial instruments.
  • Prepare operational or risk reports for management analysis.
  • Evaluate financial reporting systems, accounting or collection procedures, or investment activities and make recommendations for changes to procedures, operating systems, budgets, or other financial control functions.
  • Communicate with stockholders or other investors to provide information or to raise capital.
  • Evaluate data pertaining to costs to plan budgets.
  • import files follow up 

FINANCIAL MANAGER, Wolf-Bogisich. Brakusfort, Oregon
Jun. 2015 – Jul. 2015
  • Cash management 
  • ensure  payment of foreign suppliers 
  • Prepare, analyze, and verify annual reports, financial statements, and other records, using accepted accounting and statistical procedures to assess financial condition and facilitate financial planning.
  • ensure incoming and outgoing transactions 
  • Analyse monthly balance sheet accounts for corporate reporting.
  • Generated financial statements and facilitated account closing procedures each month.
  • Prepare detailed reports on audit findings.
  • Collect and analyze data to detect deficient controls, duplicated effort, extravagance, fraud, or non-compliance with laws, regulations, and management policies.

Financial assistant, Heathcote-Streich. Grimestown, Kentucky
Sep. 2014 – Oct. 2014
 
  • Process and prepare financial and business forms for the purpose of checking account balances, facilitating purchases, etc. 
  • Perform routine calculations to produce analyses and reports as requested by the finance director 
  • Help oversee and manage individual accounts 
  • Create, send, and follow up on invoices 
  • Review and adhere to department budgets 
  • Collect and enter data for various financial spreadsheets 
  •  Assist the financial director in creating financial reports on a regular basis 
  •  Suggest changes or improvements to increase accuracy, efficiency, and cost reductions. 

Education

Conn Institute, Rossstad, Alaska
MBA, Financial engineering, Feb. 2011

South Georgia Institute, East Staceyborough, Michigan
BBA, Finance, Sep. 2010

West Colorado Institute, Rhettton, New Mexico
Bachelor of Science, Experimental sciences, Jan. 2003

Skills

business process improvement

communication

Team management and leadership

financial manager

  • Handle cash on hand, notes receivable and payable, negotiable securities and confirm records are accurate.
  • Experience in start ups environment, participation in the project Thessaloniki Smart up Innovation Hub 
  • Online banking, internal transfers and maintaining money market accounts to obtain daily optimal interest
  • Evaluate financial reporting systems, accounting or collection procedures, or investment activities and make recommendations for changes to procedures, operating systems,

financial manager

  • Daily accounting duties Supplying monthly management accounts and meetings with managing directors
  • Managed a staff compliment of about 10 persons (directly) 
  • Setting up and maintaining of checks and balances 
  • Preparing of audit documentation and assisting of auditors
  • Preparing of documentation for taxation 
  • Creating of new entities on the accounting system
  • Managed access setting for individuals and groups for the accounting package 

financial manager

  • Training in the fundamentals and technical analysis of the company stock.
  • Buying and selling of shares.
  • Forming corporate tie-ups.
  • Conducting workshops to create financial awareness.
  • Orchestrating interviews.

financial manager

  • Responsible to prepare annual budget development.
  • Suggest budgetary changes.
  • Confer with department heads or staff to discuss topics such as contracts, selection of advertising media, or company topics to be contacted to the public.
  • Communication with lawyers, accountants to deal with issues of the company 
  • Communication with businesses, academia, ministries and local partners for projects of the company
  • Experience in social media planning
  • Arrangement of in-house and external events 

financial manager

  •  A fluent ability to work across different levels within the organization. 
  •  Financial planning and work to control the financial performance of the department within the specified budget. 
  •  Review and analyze information related to costs, prepare annual estimated budgets and balance sheets at the specified times, and follow up on their audit 
  •  Reviewing and analyzing the available financial information with a view to assessing the current and future financial position of the company, while developing proposals for its development 

financial manager

  • Financial planning in order to make sure the business can make it through the quiet winter months as the market industry is extremely cyclical in South Africa
  • Weekly reconciliations of the company’s bank accounts
  • Preparing monthly and yearly financial statements for management to keep track of finances and how the business is performing overall
  •  Excellent managerial skills of finance functions. 

financial manager

  •  Reporting to Director of Finance & General Manager 
  •  Responsible for planning, directing and controlling financial, human resources and administrative functions accordance to the financial policies and procedures. 
  •  Responsible for preparing Budget& financial statements, 
  •  Developing and implementing an effective system of accounting 
  •  Maintaining cash controls. 
  •  Managing the payroll and personnel administration, purchasing, maintaining accounts payable and managing office operations within the financial management policies and procedures. 
  •  Provide financial and accounting advice, direction& Leadership 

financial manager

  • Approve, reject, or coordinate the approval or rejection of lines of credit,
  • Plan, direct, or coordinate activities of workers financial departments,
  • Prepare financial or regulatory reports required by laws, regulations, or boards of directors,
  • Establish procedures for control of assets, records to ensure safekeeping,
  • Review collection reports to determine the status of collections and amounts of outstanding balances,
  • Prepare operational or risk reports for management analysis,
  • Develop or analyze information to assess the current or future financial status of the hotel.

financial manager

  • managing financial accounting, monitoring and reporting systems 
  • Ensure payment of foreign suppliers and receipt of goods 
  • cash management et daily bank reconciliation 
  • arranging new sources of finance for a company’s debt facilities 

financial manager

  • providing and interpreting financial information
  • monitoring and interpreting cash flows and predicting future trends
  • analysis change and advising accordingly
  • formulating strategic and long-term business plans 
  • analysis competitors and market trends
  • developing financial management mechanisms that minimize financial risk
  • conducting reviews and evaluations for cost-reduction opportunities

financial manager

  • Prepare the direct and indirect costs of the contract works in detail with the calculation of the future risks and the expected variables according to the duration of the project 
  • Determining the security price for each item in the contract quantities table to prepare the ideal price quotations
  • Follow up the implementation of projects and help reduce costs less than planned Without affecting the quality of work and the speed of implementation 
  • Providing all data to assist in making future decisions, as well as monitoring and planning sections 

financial manager

  • Follow up the recruitment visas of  500 employees of  the company 
  • Supervising accountants for salaries and bank transfers
  • As Financial Manager
  • Supervising the introduction of daily accounting entries and preparing financial statements

financial manager

  • As Chief Of Accountant
  • Review daily accounting entries and prepare financial statements 
  • Working on processing and claiming excerpts of the project 
  • Responsible of  Muqeem and Absher  services 
  • Management of GOSI services 
  • Submit transactions on MOL 
  • Submitting claims of  human resources development fund  

financial manager

  • Overseeing the flow of cash and financial instruments
  • Planning and directing the activities of workers in branches or departments
  • Preparing reports as required by law, regulations or company policies
  • Ensuring compliance with applicable laws and procedures 

financial manager

  • Responsible for Month closing and financial reporting (group purposes) for video game company HQ which operates 16 offices and development studios whose product sets Guinness World Record with a budget over 000.000.000 $
  • Prepared Financial statements according to IFRS, 10000+ transactions per month, consolidated 3+ legal entities. Improved finance monthly statements delivery, reduced monthly closing from T+40 to T+5. 
  • Transformed account processes from Local GAAP to IFRS, matched with Group Policy. Implemented and formalized accounting policies and recurring procedures to ensure financial statements were accurate and complied with IFRS and company policy. Created Chart of accounts.
  • Acted as liaison between HQ, local managers, ERP developers, and consultants. Prepared 50 + Cost Center Results, Accruals and Variance Analysis. Maintained databases.
  • Served As Team-Member during System Implementation – combined 5 accounting programs into one SAP ERP system. Implemented System provides various ad-hoc reports to HQ in real time.
  • Successfully deployed system business solutions for 5+ departments 500+ employees game factory: SAP (FICO, MM), SAP BusinessObjects, Payroll system – finance and accounting, Expense Management system – Procurement department, SAP Success Factor – HR, Travel budget management system – Logistic, Office procurement and document tracking systems – Operations. 

financial manager

  • Develop or analyse information to assess the current or future financial status of firms.
  • Establish and maintain relationships with executive management, change management, and process owners.
  • Examine, evaluate, or process loan applications completed with the members.
  • Prepare financial or regulatory reports required by laws, regulations, and executive management.

financial manager

  • Business Management Adhere to Center of Excellence measurements by executing Contact Center Management and leading member contact teams. 
  • Achieve and sustain team member satisfaction at 92% or higher 
  • Evaluate and audit conversations on product sales, expanding breadth & depth through relationship building and deepening.
  •  Accountable for upholding regulatory compliance and risk mitigation, audits, and errors to protect our membership.
  • Clearly demonstrating an understanding of the financials, market, critical skills, and drivers of the business operations. 
  • Clearly sets strategies and executes in alignment with the mission, corporate strategies and goals. Articulate intentions to key partners. 
  • Focus on exceeding expectations. Consistently counted on to achieve challegning objectives. 

financial manager

  • Compile cost controls. 
  • Develop sound management controls and accounting procedures and support external accounting and auditing procedures as required.
  • Manage financial month end processes, including cash book and bank reconciliations.
  • Manage daily financial processing of creditors (capturing, reconciling and payments.)
  • Produce monthly and quarterly financial management reports from pastel.
  • Liaise with auditors, local and internal tax authorities and operations as required.
  • Loan agreement management and payments

financial manager

  • Establish and supervise the process dealing with the approval and rejecting lines of credit;
  • Oversee customer billing process completeness;
  • Oversee collection of overdue accounts; and
  • Preparation of monthly management accounts.

financial manager

  • Filling of tax returns and preparation SARS reports in compliance with SARS regulations.
  • Analysis of monthly balance sheet accounts for corporate reporting.
  • Cooperation with engineering, manufacturing and corporate accounting to verify that quality standards were met.
  • Analyzing of reporting issues to improve accounting operations procedures.
  • Training of new employees on accounting principles and company procedures.
  • Advising management about issues such as resource utilization, tax strategies, and the assumptions underlying budget forecasts.
  • Preparation of forms and manuals for accounting and bookkeeping personnel, and direct their work activities.

financial manager

  • Prepare financial reports required by laws.
  • Review price lists to analyze market conditions.
  • Inserted Cash Flow System, Follow up with the daily cash flow and monthly expenses.
  • Decreased expenses by 50% through a year of operation, also Increased Sales by 23%.
  • Preparing monthly payroll.