
Saquib Nawaz CFA CMA
Sr. Investment Supervisor (Asset Affair) at Public Works Authority 'Ashghal'
Doha, QatarWork Experience
Sr. Investment Supervisor (Asset Affair)Full Time
Public Works Authority 'Ashghal'
Jan 2024 - Present -1 yr, 7 months
Qatar , Doha
- Job Details:Fixed Asset Management: -Creating and updating the fixed asset register, including asset acquisition, depreciation, CWIP, right of use and disposal. -Ensuring proper accounting of asset transactions as per IPSAS, including calculating depreciation and adjustments. Accounting & Reporting: - Ensure accurate and timely recording of fixed asset acquisitions, transfers, and retirements. - Prepare and review depreciation calculations and schedules. - Collaborate with the finance team to ensure proper asset capitalization and depreciation in accordance with company policies and IPSAS. O&M & AMC Contracts: Reviewed the O&M & AMC for the sewage treatment plant and road infrastructure, and allocated capital (CapEx) and operational expenditures (OpEx) in accordance with IPSAS. Systems & Processes: Identify and recommend improvements to asset management processes and system (Maximo).
Senior Specialist (Commercial Asset)Full Time
Road & Transport Authority (Government of Dubai)
Apr 2020 - Nov 2023 -3 yrs, 7 months
United Arab Emirates , Dubai
- Job Details:Assets Monitoring & Performance Control Activities: • Monitor and supervise of assets during their life cycle. (Planning, Procurement, Utilization & Decommissioning) • Monitor and supervise the implementation of assets registration, counting and retirement processes for the different types of the intangible assets used by all relevant departments in RTA. • Conduct studies & research to improve the current monitoring activities of the assets in RTA and propose improvement plans. • Review all studies and requests related to new / existing assets raised from different departments and give a professional recommendation. Non-Fare Revenue Assets: • Manage and monitor the Non-Fare Revenue Asset (Retail Space, Advertisement & Concessions) • Prepare reports on utilization and performance, of Non-Fare Revenue Assets • Formulate strategies to maximize generation of non-fare revenue through innovative avenues and channels e.g., advertising, transit retail and business alliance. • Review feasibility study for commercial investment proposal. Brand Licensing: • Creation of concepts to develop RTA brand merchandising & licensing program and to generate new commercial revenue streams in retail, restaurant/cafe concepts, events, and licensing and to promote RTA design and art collection. • Developed communication documents, tender documents, and coordinate with cross-functional teams. • Department Administrative Activities: • Monthly Activity Report with KPI and performance comparison. • Department Budget preparation and variance reporting. • Monitor Assets relocation activities. • Reviewing and creating Standard Operating Process & Assets Management Related Policies.
Manager- Financial Analysis & PlanningFull Time
Union Investments LLC (Investment House)
Apr 2014 - Feb 2020 -5 yrs, 10 months
United Arab Emirates , Ras al-Khaimah
- Job Details:Investment Management: - Identify new investment opportunities and evaluating their potential financial impact. - Develop detailed business cases and feasibility study for potential investments, including scenario analysis, valuation, and ROI projections. - Conduct due diligence on potential M&A targets, assessing financial health, strategic fit, and potential risks. - Present investment recommendations to the Investment committee. Financial Modeling and Valuation: - Creating detailed financial models for investment analysis, including discounted cash flow (DCF) analysis, sensitivity analysis, and scenario planning. - Evaluating business units and projects using various valuation techniques (e.g., NPV, IRR) to support strategic decision-making M&A and Corporate Transactions: - Lead M&A activities, from deal sourcing and negotiation to execution and post-merger integration. - Coordinate with internal and external stakeholders, including legal, finance, and external consultants, to ensure successful transaction outcomes. - Manage the pipeline of acquisition and divestiture opportunities, ensuring that the company’s financial and strategic objectives are met. - Oversee the integration of acquired companies, focusing on maximizing synergies and ensuring smooth transitions. Reporting and Presentation: - Prepare detailed reports and presentations for senior management, board meetings, and investor presentations, outlining investment opportunities and strategic initiatives. - Track and report on the performance of the investment portfolio, highlighting key trends, risks, and opportunities. Group-Level Consolidation & Analysis: Consolidate financial results across business units to deliver an accurate and timely Group view. Financial Planning & Budgeting: Lead in the preparation of annual budgets and periodic financial forecasts, analysing variances and suggesting corrective actions as needed. S
Deputy Manager- Corporate FinanceFull Time
Jayaswal Neco Industries ltd. (Steel Industries)
Sep 2011 - Feb 2014 -2 yrs, 5 months
India , Mumbai
- Job Details: Corporate Finance : Project and Corporate Funding (both debt and equity) for the entire group Prepare DPR/ Financial Model/ Information Memorandum/ Appraisal Note/ Term Sheet for submission to Financial Institution and Banks Research market conditions and manage corporate finance projects including financial advisory on M&A and capital raising exercises Project appraisal at various FIs/ Banks, follow up for Sanctions, Syndication, Pre/ Post Documentation and Drawdown Liaise with external company and government agencies to ensure that all reasonable requests for information, explanations and justifications relevant to project are met in-line with relevant statutory and other requirements. Develop the budgeting, forecasting, planning processes, supporting the commercial decision making process and evaluating new products and M&A opportunities. Prepare comprehensive financial models of various projects to deliver cash flows forecast, Scenario analysis, risk assessment and return analysis to Managements viz. ROI, DCF, IRR, Enterprise Value, etc. Actively participate to negotiate commercial and contractual aspects of projects with Banks/ FIs, EPC Contractors and other relevant third Parities Assisting in the preparation of project documentation with Lender Legal Advisor and timely execution of Loan Documentation /Post Sanction Processes Financial & Operation Management : Preparation of Cash Flow Statement and Profitability of all projects and presenting the same to the management at the monthly meetings Analyze regularly Financial & Operational performance of companies & compare actual performance to budget, last year & prepare report. Statutory & Internal MIS of lender & RBI Bank Statutory Audit, Credit Audit, Inspection Audit & Stock Audit
Education
Master In Financial & Investment Analyst in Finance & Investment
Institute of Chartered Financial Analyst of IndiaJan 2008 - Jan 2009 - 1 Year
B. Com Hons in Account & Finance
University of CalcuttaJan 2004 - Jan 2007 - 3 yr
High School - Other
CBSE BoardJan 2003
Skills
Languages
English
Fluent
Training & Certifications
Chartered Financial Analyst (CFA)
2024FMVA
Corporate Finance Institute CFI·2024CMA - IMA USA
2016