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Saquib Nawaz CFA CMA

Sr. Investment Supervisor (Asset Affair) at Public Works Authority 'Ashghal'

Doha, Qatar

Work 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 India

      Jan 2008 - Jan 2009 - 1 Year

    • B. Com Hons in Account & Finance

      University of Calcutta

      Jan 2004 - Jan 2007 - 3 yr

    • High School - Other

      CBSE Board

      Jan 2003 

    Skills

    Languages

    • English

      Fluent

    Training & Certifications

    • Chartered Financial Analyst (CFA)

      2024
    • FMVA

      Corporate Finance Institute CFI·2024
    • CMA - IMA USA

      2016
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