Md Sunny Alam

Financial Controller at Vortex Property Group
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Contact Information
us****@****om
(386) 825-5501
Location
Sydney, New South Wales, Australia, AU
Languages
  • English -
  • Bengali -

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Credentials

  • Communicating with Executives
    LinkedIn
    Aug, 2023
    - Oct, 2024
  • Become an HR Business Partner
    LinkedIn
    Jun, 2022
    - Oct, 2024
  • The Human Resources Hero
    LinkedIn
    Apr, 2022
    - Oct, 2024
  • Human Resources in the On-Demand Economy
    LinkedIn
    Mar, 2022
    - Oct, 2024
  • Talent Management
    LinkedIn
    Mar, 2022
    - Oct, 2024
  • Organization Design
    LinkedIn
    Feb, 2022
    - Oct, 2024
  • Essential Lessons for First-Time Managers
    LinkedIn
    Dec, 2021
    - Oct, 2024
  • HR as a Business Partner
    LinkedIn
    Dec, 2021
    - Oct, 2024
  • Inventory Management Foundations
    LinkedIn
    Aug, 2020
    - Oct, 2024
  • Gaining Skills with LinkedIn Learning (2016)
    LinkedIn
    Apr, 2020
    - Oct, 2024
  • Welcome to CA ANZ's Linkedln Learning platform
    LinkedIn
    Apr, 2020
    - Oct, 2024
  • Communicating In the Language of Leadership
    LinkedIn
    Mar, 2020
    - Oct, 2024
  • Microsoft Flow: Approval Flows
    LinkedIn
    Mar, 2020
    - Oct, 2024
  • Excel PivotTables Part 1: Mastering PivotTables and PivotCharts
    LinkedIn
    Jan, 2020
    - Oct, 2024
  • Transitioning from Individual Contributor to Manager
    LinkedIn
    Dec, 2019
    - Oct, 2024
  • Chartered Accountant
    Chartered Accountants Australia and New Zealand
    Mar, 2014
    - Oct, 2024
  • Macquarie University International Scholarship
    Macquarie University
    Jul, 2010
    - Oct, 2024

Experience

    • Australia
    • Residential Building Construction
    • 1 - 100 Employee
    • Financial Controller
      • May 2021 - Present
    • Australia
    • Construction
    • 1 - 100 Employee
    • Financial Controller
      • May 2021 - Present
    • Australia
    • Construction
    • 1 - 100 Employee
    • Finance Manager
      • Dec 2019 - May 2021

      • Developed and implemented month-end processes and reporting from scratch • Coordinated with IT service provider to upgrade tech infrastructure • Optimized underutilised ERP system (Pronto) and improved subsequent business processes • Managed finance team of 3 (AP, AR and financial accountant) • Project managed Redmap (Procure to Pay system) to streamline finance, procurement and others • Managed cash flow and FX risk • Managed year-end statutory audit and tax compliance •… Show more • Developed and implemented month-end processes and reporting from scratch • Coordinated with IT service provider to upgrade tech infrastructure • Optimized underutilised ERP system (Pronto) and improved subsequent business processes • Managed finance team of 3 (AP, AR and financial accountant) • Project managed Redmap (Procure to Pay system) to streamline finance, procurement and others • Managed cash flow and FX risk • Managed year-end statutory audit and tax compliance • Developed annual budgets and quarterly forecasts model (3-way forecast) • Carried out financial modelling on project feasibility and business refinance

    • Company Accountant
      • Jun 2019 - Dec 2019

    • United States
    • Pharmaceutical Manufacturing
    • Financial Accountant
      • Feb 2018 - Jun 2019

      Preparing monthly cash flow forecast covering national property capex and opex. • Reporting on budget variance for portfolio of 60 properties and corporate overheads. • Improving property management software Yardi towards its full potential by implementing PO uploads, ETL uploads and training wider property team. • Continuously enhancing processes around property analytics and month end reporting with further projects planned for implementation. • Participating in commercial targets… Show more Preparing monthly cash flow forecast covering national property capex and opex. • Reporting on budget variance for portfolio of 60 properties and corporate overheads. • Improving property management software Yardi towards its full potential by implementing PO uploads, ETL uploads and training wider property team. • Continuously enhancing processes around property analytics and month end reporting with further projects planned for implementation. • Participating in commercial targets of property business including KPI, LVR and ROI. • Preparing and improving monthly AUS and NZ BAS, CAS and IAS reporting process. • Prepared and finalised year-end accounts for five entities with total book value of $230m. Show less Preparing monthly cash flow forecast covering national property capex and opex. • Reporting on budget variance for portfolio of 60 properties and corporate overheads. • Improving property management software Yardi towards its full potential by implementing PO uploads, ETL uploads and training wider property team. • Continuously enhancing processes around property analytics and month end reporting with further projects planned for implementation. • Participating in commercial targets… Show more Preparing monthly cash flow forecast covering national property capex and opex. • Reporting on budget variance for portfolio of 60 properties and corporate overheads. • Improving property management software Yardi towards its full potential by implementing PO uploads, ETL uploads and training wider property team. • Continuously enhancing processes around property analytics and month end reporting with further projects planned for implementation. • Participating in commercial targets of property business including KPI, LVR and ROI. • Preparing and improving monthly AUS and NZ BAS, CAS and IAS reporting process. • Prepared and finalised year-end accounts for five entities with total book value of $230m. Show less

    • Australia
    • Real Estate
    • 700 & Above Employee
    • Financial Accountant
      • Sep 2016 - Jan 2018

      Fund Accounting of Goodman Australia Development Partnership (GADP) which includes a portfolio of 7 assets with NAV of $400m. • Presenting monthly management results to Fund Manager and Analyst • Budgeting and subsequent variance to budget analysis • Prepare and present monthly cash flow forecast • Month End Journals and GL maintenance • Year end and half year statutory reports • Liaise with Year End Auditors Corporate Accounting of 9 Business Services Departments… Show more Fund Accounting of Goodman Australia Development Partnership (GADP) which includes a portfolio of 7 assets with NAV of $400m. • Presenting monthly management results to Fund Manager and Analyst • Budgeting and subsequent variance to budget analysis • Prepare and present monthly cash flow forecast • Month End Journals and GL maintenance • Year end and half year statutory reports • Liaise with Year End Auditors Corporate Accounting of 9 Business Services Departments of Goodman Australia Division • Overheads Budgeting • Variance to budget analysis • Review and present quarterly management reports to Business Managers • Month End Accruals Development Cost Accounting of Goodman Australia Division • Set up JC Project with budgets • Project specific cash flow forecast • Development allocation journals • Month End Journals – Inventory, Cost to Complete, Cap Interest and Cap Stats • Property/Lot Sales Journals Tax Accounting • Review monthly BAS’s for Joint Venture projects and funds • Review fixed asset registers and depreciation/amortisation calculations • Preparation of Distributable Income Calculations and Income Tax Returns for trusts, companies and partnerships

    • Assistant Financial Accountant
      • Mar 2014 - Aug 2016

      GMG AUS Business Units Reporting JV Financial Reporting GMG AUS - Business Activity Statements Trust Income Tax Return GMG AUS Balance Sheet Reconciliation Fixed Assets Registers Budgets and Variance Analysis Intermediate User of Excel and TM1

    • Australia
    • Higher Education
    • 700 & Above Employee
    • Cafe Attendant
      • May 2012 - Mar 2014

      • Handling cash receipts and responsible for reconciliation of sales and cash ranging in between $1500 to $3500 at the end of the day. • Provide excellent, professional and friendly customer service to 300 to 400 customers per shift • Responsible for stock take of inventory • Handling cash receipts and responsible for reconciliation of sales and cash ranging in between $1500 to $3500 at the end of the day. • Provide excellent, professional and friendly customer service to 300 to 400 customers per shift • Responsible for stock take of inventory

    • Australia
    • Musicians
    • 1 - 100 Employee
    • Accounts Assistant Intern
      • Dec 2013 - Feb 2014

      • Processed Invoices for group of companies into MYOB and Xero accounting software • Processed batch payments into the bank • Assisted with daily bank reconciliations • Reconciled and processed employee expense reimbursement • Carried out office administration e.g. answer phones, filing invoices • Attended training on payroll processing, payroll tax, BAS and superannuation calculation • Processed Invoices for group of companies into MYOB and Xero accounting software • Processed batch payments into the bank • Assisted with daily bank reconciliations • Reconciled and processed employee expense reimbursement • Carried out office administration e.g. answer phones, filing invoices • Attended training on payroll processing, payroll tax, BAS and superannuation calculation

    • Accounts Clerk
      • Mar 2012 - Jun 2013

      • Daily data entry through MYOB • Perform bank reconciliation at the end of quarters • Accurately process relative paperwork such as cheques, invoices and returns. • Assist with student services regarding fee structures, payment schedules and financing • Process and record payroll of 10 - 15 employees abiding with company policies • Assist with maintaining and updating student database and other relative information • Fulfilled all KPI targets that were assigned • Daily data entry through MYOB • Perform bank reconciliation at the end of quarters • Accurately process relative paperwork such as cheques, invoices and returns. • Assist with student services regarding fee structures, payment schedules and financing • Process and record payroll of 10 - 15 employees abiding with company policies • Assist with maintaining and updating student database and other relative information • Fulfilled all KPI targets that were assigned

    • Food and Beverage Services
    • 1 - 100 Employee
    • Crew Member
      • Jan 2011 - Jun 2013

      • Provide excellent customer service to 250 – 300 customers per shift • Monitor and maintain smooth performance of kitchen, counter and floor operations • Provide excellent customer service to 250 – 300 customers per shift • Monitor and maintain smooth performance of kitchen, counter and floor operations

Education

  • Chartered Accountants Australia and New Zealand
    Chartered Accountants Program, Accounting and Finance
    2014 - 2016
  • Macquarie University
    Bachelor of Commerce (B.Com.), Professional Accounting
    2010 - 2013

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