Резюме від 16 квітня 2024 Файл

Volodymyr

Фінансовий експерт

Місто:
Київ

Контактна інформація

Шукач вказав телефон .

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Volodymyr Drukar
Male, 40 years, born on 11 April 1983

[відкрити контакти](див. вище в блоці «контактна інформація»)
[відкрити контакти](див. вище в блоці «контактна інформація»)

Reside in: Kyiv, m.st. Minska
Citizenship: Ukrainian, work permit at: Ukraine
Ready to relocate, ready for business trips

Desired position and salary

Financial controller, financial/investment analyst
Accounting, Management Accounting, Corporate Finance
• Auditing
• Financial/investment analysis
• Economic/entrepreneurial activity

Employment: full time
Work schedule: work in the office/outside the office
Travel time to work: any acceptable time interval

Work experience —15 years 1 months
February 2022 — Samaritan's Purse
Up till now
1 year 2 months Financial officer
Maintenance of petty cash files, expense reports and all banking activities up to date in the books
and in the accounting system. Review and ensure the accuracy of financial transactions.
Maintaining personnel expense reports that are processed in accordance with Samaritan's Purse
field accounting policies. Maintain neat and organized physical and digital files for all financial
transactions. Administer funds and keep a petty cash book in the accounting system. Assist the
Finance Manager in coordinating and maintaining the cash forecasting system to ensure that
sufficient funds are available to meet the operational requirements of the projects. Update and
maintain advance accounts of individuals in the accounting system.
January 2020 — ELG, LLC
August 2022
2 year 8 months Financial controller
Formation of requests for payments by the manager and control over their execution. Checking
documents necessary for making payments; drawing up and executing the schedule conducting
internal audits; managing accounting records, evaluating and managing risk, ensuring compliance
with regulations, overseeing accounting operations, analyzing financial data, monitoring
expenditure, forecasting revenue, coordinating auditing processes, and ensuring accuracy of
financial information. Developing plans for financial growth. (Remote work in connection with the
birth and care of a daughter in 2019. Without making entries in the labor book for the reason of the
director's departure abroad).
January 2017 — Baker Tilly Ukraine
May 2018
https://bakertilly.ua/
1 year 5 months
Auditor
Participating in preparation of annual consolidated financial reporting statements of companies in
accordance with IAS/IFRS. Comprehending significance of Financial Statement Close Process on
assurance engagements. Gaining knowledge of financial performance and measurement concepts
relating to reviewing business plans, analytical reviews and the valuation and testing of financial
instruments. Developing niche advisory skills in accounting and financial reporting. Auditing of
companies that are part of a large agricultural holding in Ukraine in terms of checking the following
sections of the company's balance sheet: cash and their equivalents, financial assets, inventories,
fixed assets, loans, etc., as well as related parties and recalculation of wages and bonuses. Also,
performing an audit of a medium-sized commercial bank in Ukraine, in terms of checking the loan
portfolio and deductions to reserves for impairment. Verification of compliance with financial
reporting covenants.

January 2016 — Wai Thai (4 spa salons)
January 2017
https://waithai.ua/
1 year 1 month
Finance manager
Maintaining management and financial accounting: planning, budgeting, controlling. Preparing
consolidated financial statements (income statement, balance sheet, cash flow statement, owners'
equity). Calculating and analyzing on a monthly basis over fifteen financial and key ratios. Based on
the analysis of the coefficients preparing proposals to the owner on introduction of changes in the
business and responsibility for the results obtained. Controlling financial flows and providing cash
liquidity at a reasonable level. Drawing up of business plans and financial models of investment
projects. Positive launching of new investment projects. Establishing targets for earnings and
operating cash flow of the company, calculating deviations plan / actual. Controlling over structural
units budgeting, preparing of joint solutions with the heads of departments and cost optimization.
Analyzing Company financial performance (total asset turnover ratio, return on total assets,
EBITDA margin, debt to capital, total debt to total assets, receivables turnover ratio, current ratio,
inventory turnover, times interest earned, profit margin, gross margin, return on equity).

October 2014 — Jahn & Jensen
May 2015
8 months http://www.jahn.com.ua/uk/ (site under reconstruction)
Auditor (Financial analyst)
Ensuring compliance with established internal control procedures by examining records, reports,
operating practices, and documentation. In depth analysis of financial and commercial data for the
business and its various divisions. Determines cost of operations by establishing standard costs.
Identifies financial status by comparing and analyzing actual results with plans and forecasts.
Guides cost analysis process by establishing and enforcing policies and procedures; providing
trends and forecasts; explaining processes and techniques; recommending actions. Advising on
how to prevent failures and errors that can result in fines and other penalties, reduce profits and
affect Company reputation.

December 2013 — Distribution company "Evroproduct"
October 2014
11 months http://www.europroduct.com.ua/ (site under reconstruction)
Auditor (Financial analyst)
Prepares special audit and control reports by collecting, analyzing, and summarizing operating
information and trends. Improves financial status by analyzing results; monitoring variances;
identifying trends; recommending actions to management. Recommends actions by analyzing and
interpreting data and making comparative analyses; studying proposed changes in methods and
materials. Developing an understanding of business processes providing ad hoc advice and
guidance to managers and staff. Participation in the calculation of rewards for payment for trade
shelves and marketing services to large and medium-sized retail chains of Ukraine.
July 2005 — Main Office of the Manager of State Funds (State Institution)
October 2013
Kyiv
8 years 4 months
Specialist of the financial and economic management of the Main
Department of the Manager of State Funds
Preparing assets, liabilities, and capital account entries by compiling and analyzing account
information. Preparing statistical, accounting and tax statements and management reports.
Optimizing of taxes, tax planning and identifying of tax risks. Liaising with IT department concerned
automation of finance and accounting. Passing internal audit, tax audit and state funds audit.
Payments and transactions in local and foreign currency in "Client-Bank" system, entering
statements. Full accounting in the following areas – purchases, expenses, advance reports,
business trips, pay roll, fixed assets, payables, cash, and inventories. Summarizing the current
financial situation by collecting information; drawing up a balance sheet, a report on granted
allocations and other reports.

Education
Bachelor
2009 The National University of State Tax Service of Ukraine
Juridical, Paralegal
Specialist

2005 Taras Shevchenko National University of Kyiv
Economics and entrepreneurship, Finance

Professional development, courses
2015-2016 Education program САР/СІРА (Certified Accounting Practitioner)
and СIPA (Certified International Professional Accountant)
CAP/CIPA, Financial Accounting Course - Course 1 and Management Accounting - 1 (passing a
paid course and self-study without trying to pass the exam).

2017 ACCA DipIFR (rus) (independent study of the course).
The only attempt to pass the exam with the result of 47 points (not enrolled).

2019-2022 Certified financial analyst
CFA Institute/CFA Institute, Financial Analyst (self-study at the level of 3 course/Level 3 without
attempt to pass exams).

Key skills
Languages Ukrainian — Native
English — Upper-intermediate
Russian — free user

Additional information

About me More than 15 years of experience in finance. Financial activities in aspects of accounting, auditing
and financial/investment analysis. Preparation and analysis of financial statements, monitoring of
budget execution. Strong communication skills, both written and verbal, with the ability to present
financial data to senior management with commentary in a structured manner. Planning and control
of cash flows. Preparation and control of documents that support management decisions.
Knowledge of: capital budgeting, asset pricing and allocation, portfolio management, major
differences between GAAP and IFRS, a large number of financial ratios (calculation and
interpretation), discounted cash flow method, average ratios and private investment valuation.

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