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Executive Finance Manager Resume Sample

This resume is a sample for the post of Executive Finance Manager. A highly qualified accounts and finance management professional with more or less 15 years of experience within the domains of Accounting and Finance with core competence in general accounting, fund management, budgeting, cash flow management, financial reporting, and cost control. Also accustomed to various procedures as well as practices related to Foreign Exchange. A competent Management Accountant with sound knowledge and experience in modern facets of management accounting. Adept in leading team adopting a strategic and positive approach to drive efficiency and financial productivity improvements. For this job the resume must be as much competent as possible. Below we have devised such an example of Executive Finance Manager resume to help you better explain yourself before the employer.

           Executive Finance Manager Resume Sample

Name :  XYZ                                                                                                                      Paste your pic here
Place :  U.A.E.
E-mail : xxxx
Gender : male

Career Summary:

Adept in leading team adopting a strategic and positive approach to drive efficiency and financial productivity improvements. Dedicated and results driven team leader with strong problem solving, decision making, analytic, planning, coordination, communication, and time management skills.


  • Diversified industry work exposure
  • Adept in Finalization of Books of Accounts
  • Analysis, interpretation & reporting of financial data
  • Effectively worked in an ERP environment
  • Critical thinker & meticulous with keen eye to detail
  • Ability to learn new tasks quickly
  • Adaptable to dynamic business scenarios
  • Proficient in ERP – SAP Financials & Tally


Certified Management Accountant,
Associate Member,  ACMA,
The Institute of Cost  Accountants of India
 Pursuing CPA(USA),
Certified Public Accountant
Master of Commerce (Finance)
, Kerala University, India
Certificate in Information Systems for Auditing & Cost Management


  • Used initiative and judgment in surmounting obstacles faced involving unavailability of proper financial figures through close coordination with various departments.
  • Gained knowledge and understanding of the flow of business operations, the documentation requirement and subsequent accounting and reporting.
  • Contributed to companies in safeguarding finances or frauds detection through preparing accurate final accounts, ensuring its reliability and worthiness.
  • Strictly enforced accounting policies that brought about stability in processing financial transactions.
  • Presented with Best Employee Award at TTK Group for indefinable enthusiasm, commitment, honesty, dedication and contributions to continued business growth.

Career Path:

Management Accountant,  Thumbay Group, Ajman, U.A.E
Dec 2011 –  Jan 2014

A Retailer, chain of Hospitals, Hospitality business, Builders etc. under Thumbay Group Finance Manager,  Kerala Aqua Ventures International Ltd., Kerala, India
Feb 2010 – Nov 2011

Senior Finance Executive, TATA TeleServices Ltd., Kerala, India
Mar 2008 – Jan 2009
Pioneer in the field of telecom providers.

M.Com-Finance, ACMA, CMA(USA)
May 2007 – Mar 2008

Manager, TT Forex (A division of TT Enterprises Pvt. Ltd.), India
Sept 2005 – Apr 2007
A Non Banking Finance Company.

Manager, UAE Exchange & Financial Services Ltd., India
Aug 2000 – Apr 2005
Pioneer in the field of Money Exchange and Money Transfer business in India and Middle East. It is a Non Banking Finance company having full-fledged money changer status.

Areas of Expertise:

  • Excellent competencies in managing all general accounting and financial activities of the business.
  • Adept in preparing and reviewing capital and operating budgets, cash flows plus conducting analysis and other financial studies needed for strategic decision making.
  • Highly experienced in consolidating financial statement and other management reports and handling complete books of accounts independently up to completion with zero error.
  • Competencies in preparing accurate financial statements and reviewing accounting records to assess accuracy, completeness, and conformance with company policies and applicable reporting standards.
  • Proficient in using ERP systems to ensure smooth flow of work and quicker reporting of financial result.
  • Analyze financial information to produce forecasts of business, industry, and economic conditions for use in making investment decisions.
  • Ability to delegate and supervise various accounting works assigned to staff and provide necessary guidance and instructions to meet deadlines and achieve needed result.
  • Provide sound advice to management highlighting potential issues on costing, profitability, cash generation and ideal use of funds.
  • Uphold awareness of applicable standards and regulations to maintain up-to-date compliance.
  • Interpret data affecting investment programs, such as price, yield, stability, future trends in investment risks, and economic influences.
  • Exposed in interacting with banks, suppliers, auditors, government authorities and other third parties dealing with the company.
  • Competent in directing audits that summarizes the organization’s financial position.
  • Direct the Finance department and ensure that policies and directives are met appropriately through on-the-job coaching, training, and sustained communication.
  • Review, recognize and implement processes to address issues and facilitate smooth work flow.

Proven Job Role:

Management Accountant, Heading  Pharmaceutical, Health & Nutrition products , Optical  Retail Business Accounts of Thumbay Group ,

  • Handle full spectrum of financial and cost accounting role eg; AR ,AP, GL etc.
  • Perform full set of accounts and ensure timely monthly closing of accounts.
  • Analysis of MIS reports of Group companies.
  • Finance and accounts activities of retail operations, of chain of Pharmacies, Optical business & Health and Nutrition products.
  • Perform analysis, cost tracking, monitoring and controls.
  • Responsible for monitoring payments, cash flows.
  • Assisting the management in the preparation of Financial Performance Analysis.
  • Assisting the management in the analysis of Health care.
  • Working closely with the operations team in analyzing margins, variances and cost.
  • Develop and maintain internal control and effective accounting system and policies.
  • Support the C.F.O in ensuring that intercompany cost allocations are in line with the management.

M.Com-Finance, ACMA, CMA(USA)

Finance Manager, Kerala Aqua Ventures International Ltd.

  • Primarily responsible for planning, directing, and coordinating accounting, investing, banking, insurance, securities, and other financial activities of the organization.
  • Ensuring that strong internal controls, policies, systems and procedures are in place in Finance.
  • Preparing and reviewing budgets, controlling revenue and expenditure, and fund management.
  • Implementing financial strategies and systems to raise capital.
  • Directing ledger and account maintenance, reconciled Bank book with Pass book,
  • Accountable for tax planning, asset management, preparing and finalizing financial statement such as balance sheet, P& L account and proper cash flow.
  • Ensuring statutory deductions for TDS while processing the bills.
  • Managing monthly and yearly closing of books of accounts.
  • Generating MIS reports monthly for the board of Directors.
  • Monitoring and reviewing IT and Legal functions.
  • Directing and coordinating with statutory auditors to complete audits.
  • Liaising with bank authorities to ensure smooth dealings for credit activities.

Professional Trainings:

Industrial Trainee, Kerala Chemicals & Proteins Ltd.,
Kerala, India
A joint venture company with Nitta Gelatin Inc. of Japan, it is engaged in producing gelatin for industrial usage.

  • Responsible for preparing vouchers, posting of accounting entries, issuing cheques, and preparing bank reconciliation statement.

Clerical Trainee, Travancore Cochin Chemicals Ltd., India

A government-owned organization producing caustic soda and chlorine.

  • Assigned in various sections including Provident Fund, General Establishment and Costing.

IT Skills:

  • Well versed in working in ERP-SAP Finance Modules and Tally 9 accounting software
  • Proficient in MS Office Suite, Internet and E-mail applications

Personal Details:

Nationality :     Indian
D.O.B :        DD/MM/YYYY
Marital Status :    married
Visa status :     Visit
Languages :      English, Malayalam, Hindi & Tamil



Finance Manager Resume Sample

This resume is a sample for the post of Finance Manager. Finance Manager is considered to be the backbone of the organizations. He performs following major responsibilities like Supervising Administrative and Finance areas including reporting to local management and to headquarters. management information system reports, Cash Flow management and arranging financing for customers. Developing and implementing of Internal Control Systems for financial reporting purpose.  Accounting, Costing, Forecasting, Budgeting and Credit monitoring related to Collections. The resume for the post Finance Manger is a little bit technical but we provide you an all-too-easy finance manager resume sample which help you build finance manager resume impressively.

         Finance Manager Resume Sample

Name :     xyz                                                                                                  Paste Your Pic Here
Cell No :    000
E-mail ID :    xxxx


I am looking for a position to lead and manage accounting and finance department. A role that is dynamic and has growth potential where my education, technical skills and experience will result in improving the company’s operating efficiency, lowering the company’s costs, optimizing the internal controls and improving the company’s bottom line.

Educational Background:

  • Certified Management Accountant (I.C.M.A. – Australia)
  • MBA – Master of Business Administration – Finance from Mahatma Gandhi University-(India)
  • Federal Taxation –(USA) Devry University
  • Visual Basic programming 6.0-(U.A.E.)
  • Bachelor of Commerce from University of Kerala – (India)

Computer Proficiency:

  • SAP – FICO knowledge and financial reporting.
  • ERP-Great Plains (Microsoft) Dynamics, Oracle E-business suite 11i &12
  • Computerized accounting /ERP Software Tally, QuickBooks, Polaris, Peach Tree.
  • Advanced Excel and Microsoft Office

Summary of Skills:

Accounting software implementation and financial reporting, Well-versed in managing the Working capital management (with over 17 years UAE experience), Trade Credit facility, LC/Trust Receipt, LBD’s, Funded and Non Funded facility, Supplier credit / Buyers credit and Post Import / Export finance.  Preparation and dissemination of financial reports for management and regulatory purposes on monthly & quarterly basis.

Professional Work Experience:

Imperial Business Co.
Dubai, U.A.E.
Sr. Finance Manager
Aug ‘11 – Till date

Job description

Financial analysis and reporting to the management ¨ Treasury – day-to-day cash management ¨ Payable coordination and management ¨ Monitoring disbursements / obligations ¨ Weekly cash generation / working capital tracking ¨ Work with division management and corporate management to understand trends and business drivers ¨ Participate in strategic planning ¨ Assist in preparing  and monitoring the Cost budgets and Sales Target ¨ Financial consolidation and Monthly /Quarterly/Annual financial reporting and analysis ¨ Reporting performance KPIs ¨ Inventory Management  ¨ Intercompany accounting ¨ Monthly division close process ¨ Intercompany charges and credits accounting process ¨ Bank account analysis and oversee reconciliation ¨ Accrual and other accounting routines ¨ Project based – Planning – analyze and consolidate annual plans ¨ Liaising with banks for L/C, T/R and additional facility arrangement ¨ Evaluating internal control process for improvement and coordination with group entities for other projects decided by the management¨ Budgeting and preparation of project reports.

Emirates Lube Oil Co. Ltd (ELCO) Subsidiary of GGICO (P.S.C.)
Sharjah – U.A.E.
Finance Manager
June ‘09 – June ‘11

Leading Manufacturer of lubricants/Engine Oils, Base Oil Trading & toll blender for MNC’s (Chevron/Caltex)
(Brands: National lube, Crown & Challenger – turnover AED 800 Mn)

Job description

  • Monitoring Cash-flows, operating fund assistance/support to Projects in managing their financial needs
  • Credit facility management and liaison with banks – HSBC, SCB, Emirates NBD, BNP Paribas, Mashreq bank, CBD, UNB, CBI, UAB etc., (managed bank facility in excess of AED 550 Mn).
  • Minimized the rate of interest on the credit facilities at EIBOR rate & effectively reduced the cost of borrowings.
  • Responsible for overseeing arrangements of LC/LG, LBDs and LCs discounting, supplier / buyer credit etc.
  • Monitoring Cash-flows, operating fund assistance/support to Projects in managing their financial needs.
  • Reporting to Board and executives for all financial reports of JVs and group companies.
  • Support Business Unit heads in budgeting, projections, forecasting and business plans & liquidity reports.
  • Debt-restructure and finance arrangements, risk management, internal control, policies & procedures.
  • Proactive and direct intervention with corporate towards BU’s financial needs.
  • ERP system enhancements, weekly activity reports, payroll, budgeting, projections.
  • Managed all group accounts across multiple countries, liaison with Auditors, finalization as per IFRS.
  • Increasing cash flow by consolidating credit analysis function, reduced receivables outstanding days, and minimizing risk from marginal customers.

 Landmark Retail Group
Dubai (Jebel Ali Ind) – U.A.E.
Group Finance Analyst (Chairman’s office)
Oct 07 – Feb 09

Leading Retailer with business interests in hospitality & entertainment sector (turnover USD 2.5 bn)
Concepts: Baby shop, Shoe mart, Splash, Home centre, Max, E-Max, Lifestyle, City max.

Job description

  • Monthly financial statements, region/location wise.
  • Overseeing the reconciliation of accounts. Conduct in-depth financial analyses.
  • Ensured the integrity of financial data. Assist with quarterly and annual regulatory and third party financial reporting requirements including external auditing.
  • Preparation of financial information – Sales and Income Statements to communicate to the Business Unit Managers, the results versus plan. Account Analysis and Reconciliations.
  • Analysis of monthly A&P and G&A expense reports vs budget to control expenditure and to make timely decisions for corrective measures.
  • Cash flow Statement, DSO, Daily Financial Report and monthly financial statements. Periodical Inventory Valuation and Inventory turnover.
  • Monitor and control receivables from regions & preparation of performance reports.
  • Product pricing and gross profitability analysis
  • Internal Audit function & Analytical procedures.

 Appella Int. S.A
(subsidiary of Montres Appella Sarl S.A.)
Dubai (Jebel Ali) –U.A.E.
Manager Accounts – U.A.E.
Apr ’00 -Sep 07

Brand Portfolio: Appella watches, Classic, Gold, Diamond Collection & Swiss kier.

Job Description

  • Daily Financial Report, Monthly reports, Forecasting & budgeting
  • Preparing full reports to local management.
  • Area reorganization. Implementation of new application software, increasing information quality and accomplishing with all deadlines.
  • Monitoring day to day maintaining of Books of Accounts, Handling AR and AP, Journal Vouchers, Sales Report, Margin Reports, Bank Reconciliation, Handling enquiries, Preparing Quotation, Invoice & Credit Note, Cash flow statement, Finalization of Accounts.
  • Accountable for the development and management of Company’s annual estimates and budget including variance analysis, co-ordination with external auditors.
  • Oversee trade receivables/payables prepare credit limits and monitor over limits, Consigned goods.
  • Bad debts control procedures, Internal control, credit management, Consigned inventory management

G. Trading Est. (FMCG – distribution)
Dubai, U.A.E.
Chief Accountant – U.A.E.
Jan 97 –Mar 00

Responsibilities: Accounting (Finance & Control, Costs), Preparation of all financial reports for management information & review. Implementing new Software, increasing information quality and accomplishing with all deadlines. Monitoring day to day maintaining of Books of Accounts, Handling AR and AP, Journal Vouchers, Sales Report, Margin Reports, Bank Reconciliation, Handling enquiries, Preparing Quotation, Invoice & Credit Note,

Cash flow statement, Finalization of Accounts.

Daewoo Automobiles
Ashar Motors Pvt Ltd
Accounts Officer -Mumbai
Dec ’92-Dec 96

Responsibilities: Supervising Administrative and Finance areas including reporting to local management and to headquarters. MIS reports, Cash Flow management and arranging financing for customers.

Personal Details

Date of Birth: 03rd March, 1971

Nationality: Indian

Sex: Male

Marital Status: Married

Interests: Jogging & Sports

Personal Attributes: Ambitious, Keen Learner, Decisive and Sincere

Languages: English, Hindi, Gujarati (Not Fluent), Malayalam

Visa Status: Transferable (can join immediately)