
Jahangir Humayon - (Jimmy)
Finance Professional
Ambitious and self-motivated individual with more than a DECADE of professional experience, excellent knowledge of financial analyst with cutting-edge financial acumen and financial modeling and reporting, Well versed in financial tools (ERP) especially SAP, Dynamics AX, QuickBooks & Peachtree. Pioneer and independently handling core financial functions of the company and prepared all kind of management reports. Good team leader & team player with good communication skills in English and limited working proficiency in Arabic. Majority of my work experience belong to world leading organization in petrochemical manufacturing.
Institute of Certified Public Accountants of Pakistan (CPA Pakistan)
CPA - Certified Public Accountant (September 2019 to Present)
Saudi Organization for Chartered and Professional Accountants - SOCPA
Associate Membership of SOCPA - Membership#17009 (August 2017 to Present)
Institute of Certified Public Accountants of Pakistan (CPA Pakistan)
PGDPA - Post Graduate Diploma in Public Accounting (September 2019 to January 2020)
Allama Iqbal University, Islamabad
MBA (Banking & Finance) (June 2006 to September 2008)
Bahauddin Zakariya University, Punjab
B.COM - Bachelor of Commerce (April 2003 to November 2005)
Actively Looking For Job
Financial/Budgeting Analysis, Accountant, June 2023 to Present 3 years & 1 month
SAP Expertise
SAP Power User October 2006 to Present 19 years & 9 months
Training from SAP on FICO Integration With Other Modules
Precure to Pay Cycle
Acquire to Retire Cycle
Profit Center Accounting
Cost Center Accounting
GL Account Groups & Structure
Budget upload at profit centers and cost centers levels
Updating, Execution, and Changing Standard Cost
Green Concrete Company
Financial Planning & Analyst Manager January 2022 to May 2023 1 year & 5 months
Deep dive into business trends, company resources, and investment opportunities to guide the company toward smart financial decisions.
Develop tools to enable effective cash flow and CAPEX management.
Translate analysis into presentation suitable for senior stakeholders (CFO and CEO) and ensure accuracy of contents
Analyze all lines of the P&L, Balance Sheet, and Cash Flow to explain variances in Budgets.
Obtain agreement on expenditures with budget holders and provide regular financial reports as required.
Ensure high-quality, real-time availability of data and analytics to support the delivery of the business strategy.
Use financial management information, especially benchmarking tools, to identify areas of relative spending and advise accordingly. Suggest ways of affecting budget efficiency.
Seek, identify and implement the best practices throughout the company that will enhance revenues and customer service, and improve cost and productivity efficiencies.
Manage all financial risks, key risk and performance indicators, and exposure to the company
Provide all information as required by the internal and external auditors and implement any recommendations
Spearhead the annual and quarterly budgeting and forecasting processes
Develop financial models that help with decision-making
Develop and document business processes and accounting policies to maintain and strengthen internal controls
Ad hoc reporting and miscellaneous tasks as required by the Head of the FP&A department, Head of Finance, or CFO.
YANSAB - A SABIC Affiliate
Senior Financial Analyst December 2018 to December 2021 3 years & 1 month
Support the annual profit and budgeting process and the rolling 5-year mid-range business planning process.
Develop models to forecast and reconcile pricing from the various agreements to track and forecast costs.
Support manager in preparing update, reports and presentation to the Management Committee and Board of Directors.
Support the transaction and data reporting of the IR business value centers/performance centers management reporting system (i.e., business income statements, balance sheets and cash flow statements).
Participate in the development of new policies and procedures for different areas of the Finance function.
Suggest and develop innovative systems and procedures to simplify financial transactions in the organization
Perform any job-related activities as requested by the immediate supervisor/manager.
Monitoring and controlling fixed cash cost in line with approved plan, monthly comparative report for plan versus actual distributed to the senior managers of each cost center
Promote consistency of multi-year financial plans and annual budgets
Prepares the budget and administers all financial related matters for numerous strategic programs and initiatives
Oversee the budget implementation, system entry, tracking, financial modeling, financial forecasting, procurement and contracting, and design of various databases to manage the scope of all the programs and initiatives.
Work closely with and support each program with various needs such as contracts, payments, financial issues and budgets, event management, writing of policies and procedures, and systems support. Summarize budgets and submit recommendations for the approval or disapproval of funds requests
Design and develop financial plans, including maintaining and updating the model for both operating and capital improvement plans
Review all financial requests submitted for approval to ensure all requests are completed and within department procedures and guidelines
Oversee the budget implementation, system entry, tracking, financial modeling, financial forecasting, procurement and contracting, and design of various databases to manage the scope of all the programs and initiatives
Design and develop financial forecasting models, budget policy, economic development proposal, and various types of trend analysis
Develop monthly financial reports of all programs, expense reports, journal entries, contract reconciliation, petty cash & advance reconciliation, payment transactions, and invoices among other financial matters.
Develop and evaluate financial performance measures and benchmarks
Product Costing and Management accounting best practices and executions by calculating manufacturing costs, variances and analysis with plan and providing comprehensive information to the management on making decisions.
Natpet Schulman Specialty Plastic Compounds
Senior Accountant July 2017 to November 2018 1 year & 5 months
Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
Maintains general ledger by transferring subsidiary accounts; preparing a trial balance; reconciling entries.
Summarizes financial status by collecting information; preparing balance sheet, profit and loss, and other statements.
Produces payroll by initiating computer processing; printing checks, verifying finished product. Completes external audit by analyzing and scheduling general ledger accounts; providing information for auditors.
Avoids legal challenges by complying with legal requirements.
Secures financial information by completing database backups.
Protects organization's value by keeping information confidential.
Updates job knowledge by participating in educational opportunities; reading professional publications; maintaining personal networks; participating in professional organizations.
Calculation and submission of the VAT and Tax Returns as required and to ensure that the coding structure on the Financial Management System correctly accounts Also coordinating with GAZT officials for their required informationa and supporting documents on time
Preparation and submission of SIDF drawdowns providing all the supporting documents/information also leading the SIDF audit
Leading internal and external audit of the organization
Preparing company payroll and cross verify with all the approved supporting documents from the signatory authorities and uploading into Bank online portable for the purpose wage protection system
Saudi Chevron Philips / Petrochemical Conversion Company
Financial & Reporting Analyst August 2013 to July 2017 4 years
Provide weekly, monthly and quarterly management reporting at all levels to support business unit decision making and to identify areas requiring further investigation.
Prepare the monthly reporting package for the business unit management team, showing all pertinent and insightful information.
Prepare and manage monthly dashboard variance analysis by comparing results to plans and provide detailed commentary.
As part of the Finance team, focus on front-end analysis, forecasting and support of the business unit.
Analyze business unit trends by profit/cost center, product line and key customer plus prepare commentary
Review, analyze and incorporate historical trends into forecast as required, prepare budget vs. current year expense schedules and maintain files to ensure proper roll up of all departments and G/L accounts within business unit
Responsible for supporting the Operations Controller with other duties as assigned to facilitate sound business decisions
Prepare and monitor business unit overhead expenses
Prepare, review and distribute monthly financial reports to stores and cost/profit centers
Track expenses and revenues vs. budget and reforecast and analyze fluctuations
Prepare monthly consolidation and executive financial package
Prepare annual financial information binder to be provided to the external auditors
Preparing key budget assumptions considering macroeconomics
Maintain budget and reforecast information in the accounting system, Assist in the budget & reforecast process
Evaluate profit and cost efficiencies in various areas of the organization as needed
Work with program and project managers to develop the organization's budget
Inform department managers of due dates for the submission of budget information
Act as an adviser to department managers in formulating their budget submissions
Review proposed budget submissions from department managers for accuracy and completeness
Review managers' budget proposals for completeness, accuracy, and compliance with laws and other regulations
Combine all the program and department budgets together into a consolidated organizational budget and review all funding requests for merit
Monitor organizational spending to ensure that it is within budget
Inform program managers of the status and availability of funds
Examine capital budget requests and issue recommendations to the approval committee Coordinate capital budgeting approvals
Compare actual to budgeted results at the end of each reporting period, and report on significant variances
Update the budget model as requested to account for significant changes in the business environment
Preparing long term business plan LTP using advanced excel model and upload into SAP
Preparing Budget cash flow along with detail capital expenditure and working capital
Preparing new investments financial model to present future outcomes from zero to five years plan along and cash flow plan
Nalco Champion / An Ecolab Company
Financial & Business Analyst May 2012 to July 2013 1 year & 3 months
Forecast and Budget preparation
Preparation and maintenance of operations and manufacturing models
In-depth analysis of operating results against comparative periods
Prepare ad hoc financial analyses, reports and special projects as assigned
Prepare outside requests for information: corporate HQ, census bureau, external auditors, etc.
Product/manufacturing variances
Inventory level analysis
Evaluating/analyzing product costing standards
Other duties or projects as assigned
Strong analytical, communication and collaboration skills, coupled with sound judgment and professionalism
Proven experience in business/manufacturing support, financial planning, reporting and analysis.
Excellent financial modeling and analysis skills and thorough understanding of financial concepts.
Positive attitude, adaptability, focus, and ability to multi-task effectively in a dynamic environment.
Demonstrated ability to work independently and deliver results
Al Jammaz Group / Alamar Foods Company
Accounts Payable Analyst February 2010 to April 2012 2 years & 3 months
Performing the month end closing process and reconciliation of the ledgers
Maintain excellent working relationship with external supplier
Ensure the Accounts Payable team are replying to all queries in a timely manner and all queries are dealt with correctly and efficiently
Provide day to day management of the Purchase Ledger team - motivating and leading the team, also lead the way in developing processes and efficiencies
Regular reporting and analysis to key senior managers in the business
Managing all activities in the accounts payable function – for both inventory and trade payables – including entering, reviewing, coding of invoices
Play a key role in developing and modifying payable systems, procedures and policies
Maintain Accounts Payable records in an organized and efficient manner.
Match invoices to respective purchase orders
Assist with vendor issues escalated from accounts payable team in a timely manner
Ensures timely payments of vendor invoices and expense vouchers
Performs month end closing procedures including general ledger reconciliations and accruals
Year-end preparation & Assist with financial audits
Advancement in vendors’ payment by using advance Excel programming and preparation of spreadsheets Assist with financial audits
Advancement in vendors’ payment by using advance excel programing and preparation of spreadsheets
Ultra-Construction Chemicals
Accounts Analyst November 2006 to September 2009 2 years & 11 months
Provide suggestions to improve the accounting policies & procedures, and control systems.
Perform any necessary account reconciliation to maintain updated records.
Coordinate with receivable and payable specialists to ensure proper payment and collection.
Prepare audit and document all payments and invoices accurately and in an efficient manner to ensure they are adequately used for future review and audits
Manages pay balances (supplier statements, rebates, debt balances, period end closing).
Prepare the necessary month- end and year- end closing reports related to foreign and local accounts payable.
Interact with procurement and other departments to ensure a smooth payment process
Prepare support documents detailing transaction history, problems, comments and any other relevant data for the purpose of accurate book keeping and future review.
Regularly prepare the payroll of employees and ensure its timely completion.
Provide financial support to analyze alternatives for contracts and provide inputs to determine best economic options
Establish cost flows structure, expense collection procedures and business rules to ensure consistent accounting records
Ensure accurate expense recording and ensure management understand cost trend and take proper actions to have spending under control.
Perform any job- related activities as requested by the immediate supervisor/manager.
SAP End To End Project Implementation
Microsoft Dynamics AX Implementation And Operations
Management Reporter Dynamics AX - Implementation and Management
Saudi VAT Implementation Project and VAT Return Submission
IBM COGNOS for Long Term Planning (LTP)
- Advance Skills in MS Excel
- Financial Statement Analysis
- Advance Financial Modeling
- SIDF Reports Preparation
- Advance Vendor Invoice Log
- SAP-Material Management Module
- SAP-Full Control on FICO Module
- FS Subsidiary Accounts Analysis
- Inventory Management Control
- Advance Skills in VBA & Pivot Table
- Financial Statement Preparation
- SAP-Procure to Pay Cycle
- VAT Reports & Return Submission