Finance professional having 10+ years of post-qualification experience in financial analysis & modeling, oil & gas fiscal regimes analysis, regulation/implementation of upstream petroleum policies, corporate finance, OPEX/CAPEX budgeting, management reporting, M&A valuations, due diligence, team management and liaison with consultants, auditors & government agencies. Presently, I am looking to join an organization that offers career growth & development opportunities.
Prepare ad hoc financial analysis & reports for internal & external stakeholder
Preparation & Reconciliation of Funds/Cash calls
Preparation, monitoring and control of OPEX & CAPEX budgets of multiple projects
Payment Evaluation & Reconciliation of activity-based invoices
Hands on experience of Oracle Financials (AP, AR & Cash Management)
Assist to develop and maintain financial models
Assist to carry out financial & economic analysis of gas import pipeline projects
Review & comment feasibility studies, commercial/financial agreements and other studies
Analysis and/or evaluation of reports related to the energy sector and in particular to the gas sector
Liaison with Consultant, Commercial Auditors & Government Agencies
Financial & Economic analysis of Oil & Gas discoveries / Field Development Plans
Realization, Reporting & Audit of Government receipts i.e. royalty, dividend, rents, training fund & application fees etc.). Helped in the development of commercial evaluation model for DGPC now being used as the standard evaluation tool for a declaration of commerciality/FDP submission by industry.
Review & Finalization of Supplemental Agreements to give the effect of Conversion Regime under upstream Petroleum Policies.
Oil and Gas fiscal regimes analysis in view of applicable policy, rules, petroleum concession agreements, and international practices.
Managed the working papers/briefs for PAC/DAC, Standing Committees of Senate/National Assembly & other Government Agencies.
Prepare monthly management presentation showing Region wise and product wise and owner wise Revenue for Higher Management.
Prepare budget Vs Actual Revenue Reports for further analysis by the Management
Monthly reconciliation of Management Revenue Accounts and SAP Accounts
Monitor completeness of Billing on BnCC and allied reports.
Region wise and Exchange wise analysis of Domestic Revenue Streams.
Review quantitative and qualitative trend analysis of revenue streams.
Ensure the recognition of revenue against the services rendered as per financial standards and ensure the billing of all the services through regional teams.
Compilation of monthly traffic and billing data of post paid customers on monthly basis
Liaison with regional teams in resolving the customers queries and billing disputes.
Liaison with External Auditors for timely completion of HYR & Annual audits of Revenue Accounts.
Ensure the accuracy, completeness, and timeliness of data published in SNL products for companies covered by the respective department.
Analysis of Financial and Regulatory Statements based on GAAP & IFRS.
Prepare and analyze M&A Deal Value/Transaction Value based on public information through Financial Ratios by using Y-Merger model for different sectors e.g. Banks, Media & Communication companies and Financial Services.
Managed all the information in standard forms and analysis i.e. ratio analysis, post-merger & comparable company analysis,
Provides training and development and assists senior management with performance evaluations for department staff.
Coordinate meetings and conference calls for USA, India and Pakistan offices.
Collection of M&A data of U.S. based companies from different sources including press releases, quarterly and annual reports with SEC, surveys, calls and fax.