GERLEE MAE SESE
CEO, Mascot Group(Global)Financial Services Ltd.UK
I hold a Degree and MBA from the University of Oxford,Said Business School and have gained 15 years in supervisory Management and business experience in Asia,France,Germany,Switzerland,Uk and the USA...
extensive knowledge in corporate finance,structure,companies operation compliance requirements,financial reporting,M&A,tax planning,re-structuring,due deligence and managing financial operation.
Highly fragmatic ethical leader,skillled communicator with interpersonal skills,adept high performance team with the ability to work at strategic and tactical level which delivered significant value to company profitability.
* Direct management accountability for all regional offices in London,France,Germany,Switzerland,Sydney,USA,Hongkong,Shanghai,Singapore,Bangkok and Philippines.
* Board Member,responsible for 20 legal entities of $150 Million.Direct report 200 employees.
* Oversee Group financial strategy US listing procedure.
* Key driver and gatekeeper cash management position
2006 - 2008* Implied project management,financial modeling,transaction structuring.
* Conduct full review the company environment in the US,monitor market and competetive trend and provides business hands with relevant market information.
* Help formulate an external growth strategy,working closely with the CEO.
* Identify,review and analyze external growth targets and acquisistions.
* Define annual operational plan for the business development including strategic goals,objectives responsibilities and budget.
* Recommend process improvements between various existing business.
2003 - 2005* Developed credibility by consistently providing accurate analysis performance metrics and financial trends to assist the CEO and CFO in the management of an annual budget.
* Collaborate with business executives and staff to build operating budgets,forecast,general ledger,month end closing and strategic plans SAP FICO
* Directed comprehensive planning and risk assesments relating to different internal audit assignments,to ensure the engagement,identifies exposures and potential risks and opportunities.
* Responsible for balance sheet analysis,cash flows,taxes,working capital expenditures,monitoring technical investments and technological isssues and internal audit processes.
* Ensured that accounting,accounts receivable & payable,treasury,tax control and audit duties performed effectively and efficiently.
* Direct and manage business planning and financial analysis group to ensure that financial information is accurately developed,analyzed and reported to executives.
* Managed the independent examination of financial statements prepared by management,the systematic testing of the underlying & supporting documentation,and opinion in the fairness and reliability of the presentation.
* Directed the audit of financial statements covering the balance sheet,income statements,statement of cash flows and footnotes.
* Creates and maintains a product & clients profitability matrix and provides ongoing analysis to executives management,profitable & unprofitable costumers using statistical & quarterly reporting.
1999 - 2002*Responsible for financial management, financial analysis and statistical studies the Mergers and Acquisition division.
*Responsible for the oversight of the bank’s financial data system
*Responsible for market research functions the investment/trust departments. *Ensure that financial information is accurately developed, analyzed and reported to executives.
*Managed the independent examination of financial statement prepared by management, the systematic testing of the underlying and supporting documentation, an opinion in the fairness and reliability of presentation.
*Directed of audit of financial statements covering the balance sheet, income statements, statement of cash flows and footnotes.
*Creates and maintains a product client’s profitability matrix and provides ongoing analysis to executive management on profitable and unprofitable.
*Managed executable strategy, disciplined execution to achieve breakthrough performance.
*Directed comprehensive planning and risk assessment, identifies exposures and potential risks and opportunities.
*Responsible for balance sheet analysis, cash flows, tax, working capital expenditures, monitoring technical investments
*Ensured that accounting, accounts receivable and payable, treasury, tax control and audit duties are performed effectively and effeciently.
1997 - 1997* Responsible for complex financial information and identifying market trends within competitive environments in order to present logical, fact base alternatives.
* Creates and maintains a product and clients profitability matrix.
* Responsible for the delivered market information Interfaced and maintained relationship with accounts management and costumers as required.