Liliya Shayukova
Treasury accountant3+ years of professional experience in Financial sector, 3+ years of experience in a Treasury function in n a multinational companies. Expertise in cash forecasting and cash management with focus on cash positioning to ensure company is able to meet it`s daily funding needs.
Last Resume Update | April 9, 2019 |
Address | Dubai, Russian Federation |
liliya.shayukova@gmail.com | |
Phone Number | +79264749505 |
Experience
Treasury Analyst
Reconciled bank statements, prepared cash flow forecasts, performed month-end close entries, and managed the processing of inter-company funding;
- Propose / manage HQ funding, FX conversions, funds placement deals, trade finance deals execution;
- Create and present weekly working capital graphs incorporating cash flows with forecasted future cash flows;
- Reviewed and analyzed bank fees and maintained bank account documentation;
- Assist Director of Global Treasury with any miscellaneous projects such as investing/borrowing analysis, foreign exchange exposures, etc.;
- Ran monthly process to identify FX exposures/impacts by business/legal entities, worked with businesses on processing hedges and participated in limit setting for FX Risk.
Treasury controller
Monitor cash management - prepare daily/weekly/monthly cash flow position reports & forecasts for managerial decision-making;
- Provide complex, financial analysis for a financial function;
- Monthly closings and preparation of monthly financial statements;
- Cash flow - reporting of proceeds from borrowings, repayment of borrowings, calculation interest on loans, split b/w deductible and non-deductible and accrue interests of loans;
- Review annual budgets and quarterly forecasts for interest and borrowing costs budget;
- Bank relationships (includes supervising all agreements in terms of Group and local standard, coordinate financing monitoring and KYC updates with according AML);
- Provide analytic support to business initiatives, typically representing a sub-function within finance for a particular business;
- Monthly closing procedure: To reviewed and understood in order to perform and comply with policies and procedures related to monthly closing of books in accordance with Fiscal calendar follow IFRS standard.
Accountant / Assistant
Monthly Analysis of actual costs vs Budget;
- Participation in the Company’s initial budget and monthly forecasts preparation;
- Analysis and assessment of the Company’s financial activity in short-,medium- and long-term Perspective;
- Monitor all budgets and initiate corrective actions in case of variance;
- Bank payments bookkeeping and monthly accounts’ reconciliation;
- Banks Reconciliation, and amortization schedule maintenance for prepaid accounts;
- Performed monthly closing procedures
- Create weekly and monthly reports and presentations.
- Serve visitors by greeting, welcoming, and directing them appropriately;
- Answer, screen and forward any incoming phone calls while providing basic information when needed.
Accountant
Manage accurately and timely all accounts payable for marketing activities (mass media, advertising production, events);
- Financial analysis of IFRS-based financial reporting monthly basis;
- Calculation of any quarter-end accruals & provisions or deferred expense items;
- Verify the allocation of cost in the correct cost center / project;
- Analysis of variation between actual and budget information for Projects, General and Administrative costs and for Commercial costs;
- Maintain GL Accounts, prepare accruals & other adjusting entries, review GL accounts and correct journal entries;
Accountant
Manage accurately and timely all accounts payable general accounting activities based on US GAAP in the business General Ledgers;
- Manage and perform month end close activities and ensure submission within deadlines;
- Customer Centricity and Internal stakeholders interactions: Follow and enforce controllership and compliance policies while maintaining strong working relationship with all internal business partners;
- Data queries Interact and respond to auditor queries, internal and external business queries as necessary;
- Reconciliation of settlements with vendors: To fully understood and applied US GAAP on accounting for accruals, prepaid rent and security deposit; to made reconciled balances of prepaid rent;
- Follow and enforce controllership and compliance policies while maintaining strong working relationship with all business partners.
Education
Diploma
Jurisprudence/ lawyer
Diploma
Finance & Credit /Finance Manager