Ashab Nawaz
Team Manager & Personal Director at VISTRA- Claim this Profile
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Bio
Experience
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VISTRA
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Hong Kong
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Financial Services
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700 & Above Employee
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Team Manager & Personal Director
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Apr 2018 - Present
Team Manager role is coaching a team of 10 professionals from financial, legal and tax backgrounds. Overall KPI management, T&D of team, Compliance & WTT, Acting as Personal & Corporate Director for client entities and Vistra SPVs, Management role within Vistra, Bridge between MT and business, Deadline management, Inter- departmental work and linking teams, HR for team, Financial Control, Implementation Vistra Velocity, Lean Management, Crisis and Crunch management, Year planning, Board Meetings, Offsite Client Visits and Property Meetings, Commercial plans, Maximizing Shareholders' ROI, OKRs, Motivating & Coaching team and colleagues and a lot more. Team Revenue FY 2018 > € 2.75 Mln.Real Estate division within Vistra. Client portfolio includes RE industry leaders, investment banks, AMs, State & Pension funds, regulated Funds, RE developers, HNW investors, listed companies and more. Show less
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Senior Financial Account Manager
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Jan 2015 - Apr 2018
Senior Financial Account Manager for Private Equity and Real Estate portfolio. Management activities, leading a team of 5 Junior and Medior Financial Account Managers, controlling and quality assurance, managing portfolio of complex structures, budgetholder of team revenue in access of € 1 mln, attending seminars and networking with big4 firms, business development, presentations for employees, Complete accounting, tax, legal services , Reporting, Audits, CIT, VAT, Acquisitions, banking, Annual Financial Statements, AGM, CoC publication balance, DNB reporting, budgeting, controlling of Property Manager, coordination with Asset Manager, consolidation, meetings with clients and advisors and more. Reviewing work performed, bridge between senior management and team, planning, compliance, reporting to MT and SH, performance appraisals, coordination of processes, improving workflows and total management activities. Show less
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Financial Account Manager
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Aug 2013 - Dec 2014
Financial Account Manager for Private Equity and Real Estate portfolio. Complete accounting, tax and legal services for a plethora of entities. Reporting, Audits, CIT, VAT, Acquisitions, banking, Annual Financial Statements, AGM, CoC publication balance, DNB reporting, budgeting, controlling of Property Manager, coordination with Asset Manager, consolidation, meetings with clients and advisors and more. Managing and coaching Medior and Junior Financial Account Managers, reviewing work performed, planning, compliance, reporting to MT and SH, performance appraisals, coordination of processes, improving workflows and total management activities. Show less
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Alter Domus
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Luxembourg
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Financial Services
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700 & Above Employee
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Senior Advisor
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Aug 2011 - Aug 2013
Senior Advisor for Real Estate portfolio. Complete accounting, tax and legal services for a plethora of entities. Reporting, Audits, CIT, VAT, Acquisitions, banking, Annual Financial Statements, AGM, CoC publication balance, DNB reporting, budgeting, controlling of Property Manager, coordination with Asset Manager, consolidation, meetings with clients and advisors and more. Managing and coaching Medior and Junior Advisors, reviewing work performed, planning, compliance, reporting to MT and SH, performance appraisals, coordination of processes, improving workflows and total management activities. Show less
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Accountant
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Aug 2009 - Aug 2011
Real Estate Holdings Full responsibility for the accounting tasks at standalone level. Right hand of the Group CFO. Making weekly payment batches in SAP. Maintaining accounting records of all entries in SAP. Making AR invoices for various IC recharges. Credit card, salary administration & loans processing. Monthly closing of books for all 3 HoldCos for internal review (management). Dealing with all VAT issues and filing quarterly VAT returns. Producing annual financial statements for the year-end audit. Communicating with auditors, accountants of subsidiaries, management, external tax advisors (VAT & corporate taxation) and various other parties. New World Resources Plc Right hand of the A&R officer. Dealing with arising issues for AP ranging from VAT problems to mismatches. Maintaining full accounting records in SAP. Accounting for bank movements for all activities such as IC cash pools, AR and AP, deposits and DCD deposits, FX deals,loan interest and deposit interest, credit cards and more. Maintaining complex expense re-invoicing files and producing invoices for guarantee fees, mother-subsidiary credit facilities and related interest expense, expenses such as D&O, IPO and Bond insurances, monthly recharging of costs and more to other subsidiaries and groupcos. Quarterly VAT filing and liaise extensively with external tax advisors. Accounting for credit cards, petty cash, salary journals, wage taxes and employee reimbursements. Monthly closing activities for depreciation, various accruals and reversals, employee housing, D&O, IPO and Bond insurances, multiple bank & deposit accounts check, directors remuneration and more. All monthly accrual and reversal bookings, analysing TB, BS and P&L. Providing various overviews to auditors for the quarterly and yearly audits such as loan movements, interest calculations, TB, BS and P&L comparison analysis with previous quarters and years, extensive cost overviews with reconciliation of FX and other P&L accounts to TB. Show less
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Intertrust Group
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Netherlands
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Financial Services
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700 & Above Employee
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Financial Account Manager
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Jan 2009 - Jun 2009
Financial Account Manager for Private Equity and Real Estate portfolio. Complete accounting, tax and legal services for a plethora of entities. Reporting, Audits, CIT, VAT, Acquisitions, banking, Annual Financial Statements, AGM, CoC publication balance, DNB reporting, budgeting, controlling of Property Manager, coordination with Asset Manager, consolidation, meetings with clients and advisors and more. Financial Account Manager for Private Equity and Real Estate portfolio. Complete accounting, tax and legal services for a plethora of entities. Reporting, Audits, CIT, VAT, Acquisitions, banking, Annual Financial Statements, AGM, CoC publication balance, DNB reporting, budgeting, controlling of Property Manager, coordination with Asset Manager, consolidation, meetings with clients and advisors and more.
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DELA
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Netherlands
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Consumer Services
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100 - 200 Employee
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AP Administrator (Interim)
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May 2008 - Aug 2008
A project performed via Robert Half to provide Yarden with immediate support on account payables administration due to illness of a senior AP employee. Full AP administration, input VAT reconciliation, scanning invoices to budget holders for approvals, prepare payment batches and more AP related tasks. A project performed via Robert Half to provide Yarden with immediate support on account payables administration due to illness of a senior AP employee. Full AP administration, input VAT reconciliation, scanning invoices to budget holders for approvals, prepare payment batches and more AP related tasks.
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Lear Corporation
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United States
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Motor Vehicle Manufacturing
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700 & Above Employee
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Accounting Specialist (Interim)
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Mar 2008 - May 2008
An interim project via Robert Half at Lear Corporation where the accountant had to leave the job immediately. Performing full accounting for several BV's and French Sarl's under supervision of manager administration. An interim project via Robert Half at Lear Corporation where the accountant had to leave the job immediately. Performing full accounting for several BV's and French Sarl's under supervision of manager administration.
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Internship
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Jul 2005 - Feb 2006
International internship at a company founded and lead by an ex-HMRC tax officer. Performing full accounting, preparation of annual accounts and yearly tax returns. Improve internal processes and implement automation using IT software. International internship at a company founded and lead by an ex-HMRC tax officer. Performing full accounting, preparation of annual accounts and yearly tax returns. Improve internal processes and implement automation using IT software.
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Education
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ACCA
ACCA Qualification -
Amsterdam University of Applied Sciences
BA - International Financial Management, Accounting and Finance -
University of Cambridge
Advanced Level (A Level), Accounting, Economics and Mathematics -
University of Cambridge
Ordinary Level (O Level), Mathematics, Higher Mathematics, English, Physics, Chemistry