Shaji Antony

Shaji Antony Email and Phone Number

Immediately available- Worked as Finance Manager at Al Batna Quarries LLC,Sultanate of Oman
Shaji Antony's Location
Kerala, India, India
About Shaji Antony

-Rich experience of nearly 22 years of experience(12 years in U.A.E and 10 years in Oman) in Finance Manager, Finance Controller, Chief Accountant & Senior Auditor-Worked with Al Batna Quarries LLC in Sultanate of Oman as Finance Manager.-A keen analyst with exceptional communication, negotiation and relationship management skills and abilities in liaising with Banks, Insurance companies and other external agencies.-Senior professional with verifiable year after year success in achieving revenue, profit and business growth objectives within turn around and rapid change environments. -Proficient in mapping the business requirements with proven ability in designing & implementing systems to achieve cost control & financial discipline and enhance the overall efficiency of the organisation. -A dynamic go getter and trend setter with expertise in monitoring the inflow & outflow of funds and ensuring optimum utilisation of available funds towards the accomplishment of corporate / customer goals. -Expertise in analysing existing systems & procedures, preparing annual operating plans, designing internal control systems and facilitate effective decision-making.

Shaji Antony's Current Company Details

Immediately available- Worked as Finance Manager at Al Batna Quarries LLC,Sultanate of Oman
Shaji Antony Work Experience Details
  • Al Batna Quarries Llc
    Finance Manager
    Al Batna Quarries Llc Jan 2009 - Apr 2019
    Sohar, Sultanate Of Oman
    Financial Planning & Management-Managing finance functions involving determining short term and medium term financial objectives, designing & implementing systems, policies & procedures to facilitate internal financial control.-Evaluating capital expenditure plans / proposals in terms of its financial viability within the overall objective / requirement of the expenditure.-Devising need-based business / pricing strategies for maximizing profitability & revenue generation & develop… Show more Financial Planning & Management-Managing finance functions involving determining short term and medium term financial objectives, designing & implementing systems, policies & procedures to facilitate internal financial control.-Evaluating capital expenditure plans / proposals in terms of its financial viability within the overall objective / requirement of the expenditure.-Devising need-based business / pricing strategies for maximizing profitability & revenue generation & develop product pricing strategies.Budgeting and Control / Fund Management -Formulating Operation budgets and conducting variance analysis to determine difference between projected figures & actual expenditure and reporting the same to higher management.-Instituting internal control systems to assess production plan vis-à-vis stock of Raw Materials on day to day basis so as to optimize its procurement.-Preparing profitability projections and cash flow for renewal of fund and non-fund based facilities from banks to meet working capital requirements. -Managing treasury function involving day-to-day cash management and optimum utilization of surplus funds in profitable investments within the corporate investment guidelines to achieve reasonable returns, ensuring minimum liquidity position Show less
  • Pragma Group Dubai
    Finance Controller
    Pragma Group Dubai Nov 2006 - Dec 2008
    Dubai, United Arab Emirates
    -Managing finance functions involving determining short term and medium term financial objectives, designing & implementing systems, policies & procedures to facilitate internal financial control.-Evaluating capital expenditure plans / proposals in terms of its financial viability within the overall objective / requirement of the expenditure.-Devising need-based business / pricing strategies for maximizing profitability & revenue generation & develop product pricing… Show more -Managing finance functions involving determining short term and medium term financial objectives, designing & implementing systems, policies & procedures to facilitate internal financial control.-Evaluating capital expenditure plans / proposals in terms of its financial viability within the overall objective / requirement of the expenditure.-Devising need-based business / pricing strategies for maximizing profitability & revenue generation & develop product pricing strategies.-Conceptualizing and implementing the Accounting Policies as well as devising and instituting suitable internal controls in the system.-Overseeing accounting operations right up to the financial statements as per the mandatory accounting standards.-Furnishing financial performance/MIS reports to top management to facilitate the decision making process related to management of profitability and cost of production.-Implementing effective costing systems for determining costs at various stages of operations-Implementing and administering payroll policies to ensure timely compliance with statutory obligations.-Developing and maintaining documentation and controls for all payroll related activities and procedures; serving as the main contact all payroll related issues.-Handling Accounts Payable-ageing of creditors/Payables, releasing the payments as per terms/conditions.-Managing receivable Management -accounting of bills, debtors ageing, interacting with the customers for collection & sending the reminders for collections. Show less
  • Fortune Promoseven Llc, Dubai
    Chief Accountant
    Fortune Promoseven Llc, Dubai Sep 1997 - Oct 2006
    Dubai, United Arab Emirates
    -Formulating Operation budgets and conducting variance analysis to determine difference between projected figures & actual expenditure and reporting the same to higher management.-Instituting internal control systems to assess production plan vis-à-vis stock of Raw Materials on day to day basis so as to optimize its procurement.-Preparing profitability projections and cash flow for renewal of fund and non-fund based facilities from banks to meet working capital requirements… Show more -Formulating Operation budgets and conducting variance analysis to determine difference between projected figures & actual expenditure and reporting the same to higher management.-Instituting internal control systems to assess production plan vis-à-vis stock of Raw Materials on day to day basis so as to optimize its procurement.-Preparing profitability projections and cash flow for renewal of fund and non-fund based facilities from banks to meet working capital requirements. -Managing treasury function involving day-to-day cash management and optimum utilization of surplus funds in profitable investments within the corporate investment guidelines to achieve reasonable returns, ensuring minimum liquidity position.-Conceptualizing and implementing the Accounting Policies as well as devising and instituting suitable internal controls in the system.-Overseeing accounting operations right up to the financial statements as per the mandatory accounting standards.-Furnishing financial performance/MIS reports to top management to facilitate the decision making process related to management of profitability and cost of production.-Implementing effective costing systems for determining costs at various stages of operations.-Implementing and administering payroll policies to ensure timely compliance with statutory obligations.-Developing and maintaining documentation and controls for all payroll related activities and procedures; serving as the main contact all payroll related issues.-Handling Accounts Payable-ageing of creditors/Payables, releasing the payments as per terms/conditions.-Managing receivable Management -accounting of bills, debtors ageing, interacting with the customers for collection & sending the reminders for collections. Show less

Shaji Antony Skills

Cost Reporting Cash Management Fixed Asset Register Fixed Asset Management Cost Accounting Financial Variance Analysis Accounts Payable And Receivable Cash Flow Forecasting Budgeting Financial Analysis Cost Variance Analysis External Audit Cost Control Financial Reporting Inventory Management Cost Benefit Cost Management Cost Reduction Internal Audit

Shaji Antony Education Details

Frequently Asked Questions about Shaji Antony

What is Shaji Antony's role at the current company?

Shaji Antony's current role is Immediately available- Worked as Finance Manager at Al Batna Quarries LLC,Sultanate of Oman.

What schools did Shaji Antony attend?

Shaji Antony attended Institute Of Chartered Accountants Of India.

What skills is Shaji Antony known for?

Shaji Antony has skills like Cost Reporting, Cash Management, Fixed Asset Register, Fixed Asset Management, Cost Accounting, Financial Variance Analysis, Accounts Payable And Receivable, Cash Flow Forecasting, Budgeting, Financial Analysis, Cost Variance Analysis, External Audit.

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