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Candidate
Male, 43 years, born on 1 August 1981
Tashkent, not willing to relocate, prepared for business trips
Finance, Treasury, Liquidity, Project Finance
2 500 $ in hand
Specializations:
- Treasurer
- Financial manager
Employment: full time, part time, project work
Work schedule: full day, shift schedule, flexible schedule, remote working
Work experience 20 years 7 months
October 2016 — currently
8 years 8 months
“Quality Assurance and Control Service” LLC
Tashkent
Food Products... Show more
Owner
Business Development
March 2012 — May 2016
4 years 3 months
JV Uzbekistan GTL LLC
Uzbekistan, oltinyolgtl.com
Oil and Gas... Show more
Deputy Project Finance Manager
• Organization of works related to project finance activities
• Release of Project Information Memorandum, Financing Term Sheet and Financial Model to the consortium of international lenders
• Participation in negotiations of the terms and conditions of project financing with Export Credit Agencies and Development Institutions
• Lenders’ due diligence process: Environmental (IFC PS, ADB Safeguards), Marketing, Technical, Insurance
• Engaging with Sponsors and other stakeholders on Project Finance related issues, including reporting and communication
• Participation and contribution to project financing risk assessments and updates to JV risk register; support resolution of risks identified / implement identified mitigants and ensure mitigating actions included in planning
• Operations with international bank accounts, including cross-border transactions and trade finance
• Contribution to the various JV policies and strategies including: contracting, hedging, environmental and social.
Combined the role of Acting Chief Accountant (Dec 2014 – Feb 2015), was in charge of: (1) Cash & Bank operations; (2) Contracts management; (3) General Ledger accounts.
October 2009 — March 2012
2 years 6 months
CJSC UzKDB Bank
Uzbekistan, kdb.uz
Financial Sector... Show more
Head of Treasury Department (ending position)
Head of Treasury Department (May 2010 – Mar 2012)
Deputy Head of Treasury Department (Oct 2009 - May 2010)
• Correspondent Banking
• Liquidity management; ALCO secretary
• Interbank deposits and banknote operations
• FX deals with corporates and banks and SWAP operations
• Management of bank FX position
• Capital management and investments in Fixed Income instruments
• Market risk and liquidity risk management
• Treasury products development
• Reporting and budgeting on treasury operations
• Working with Credit Rating Agencies
May 2009 — September 2009
5 months
Unicredit Corporate Banking Spa
Italy, unicreditgroup.eu
Financial Sector... Show more
Intern
BU Capital Management and ALM (CFO Area)
• Capital Management: involved in computation of KPIs (EVA, RARORAC, Revenues/RWA) in line with a developed risk-efficient model and bank strategy to optimize capital management, credit processes and value creation. Studied EVA computation for each client, negative EVA reduction procedures; pricing tool, was engaged in preparation of reports/presentations to management, meeting and committees;
• Treasury: actively conducting Deposit operations, some FX operations, daily quoting REPO rates for branches, A&L management in means of calculation daily liquidity and closing mismatch of A&L duration;
• Securitization: studied the procedure of issuing and serving Asset Backed Securities in example of Euroconnect LC 2007 and Cordusio SME, was involved in Replenishment procedure.
January 2004 — October 2008
4 years 10 months
JSCMB Ipoteka-bank
Uzbekistan, ipotekabank.uz
Financial Sector... Show more
Cheif Specialist (ending position)
Chief Specialist. Dealing Sector. Treasury Department (Mar 2008 – Oct 2008)
Leading Specialist. Dealing Sector. Treasury Department (Jul 2005 – Mar 2008)
Specialist of the 1st category. Treasury Department (Oct 2004 – Jul 2005)
• Interbank deposits, banknote operations
• Market research and risk assessment to open positions, FX position management. Trading in FX markets, currency arbitrage
• Development of ALM strategy and monitoring over its implementation. GAP report. Preparation of documents for ALCO
• Optimal allocation of bank assets, monitoring of resource allocation by branches, and control over loan operations in liquidity means
Specialist of Economic Analysis Department (Jan 2004 – Oct 2004)
• Computation of main KPIs and financial norms of the Bank
• Reporting on financial performances of branches and departments
• Reporting to Central Bank and other relevant regulatory bodies
• Monitoring over activities of mini-branches
• Preparation documents to the Board and Shareholder meetings
Skills
Skill proficiency levels
About me
Wide range experience in finance with focus on Treasury Operations, Assets & Liabilities Management, Capital Management, Planning & Control and Financial Statements.
Experience of working with various ECAs and Development Institutions from borrowers’ side. Understanding of OECD guidelines and IFC and ADB Environmental Standards; Financial Modeling under Project Finance structure.
Understanding of Oil & Gas industry.
Able to work on own initiative and as part of a team, with aptitude to work under pressure.
Higher education (master)
2009
UniCredit Master
Banking and Entreprenuership, Master
2002
Tashkent Financial Institute
Bachelor Degree in Banking, Bachelor
1998
High School #40 in Mathematics and Informatics
Computer programming, Attestat
Languages
Citizenship, travel time to work
Citizenship: Uzbekistan
Permission to work: Uzbekistan
Desired travel time to work: Doesn't matter