About Fadi Ramadan

  • Gender  Male
  • Job Fuction  Travel/Trousim & Transportation Engineering F&B Wholesale and Retail Trade 
  • Academic Level  Degree Bachelor
  • Degree Title  B.Sc.
  • Start Date  04-09-1994
  • End Date  11-02-1998
  • Viewed 33

About me

A highly experienced and results-oriented Finance Manager with a B.Sc. in Accounting and over 25 years of progressive experience in finance, accounting, and management. Fadi has a proven track record of developing and implementing financial strategies, managing capital structures, and leading finance teams across various industries, including logistics, hospitality, real estate, and construction.

Key strengths include:

  • Strategic Financial Management: Expertise in preparing financial reports (balance sheets, income statements, cash flow statements), budgeting, and financial planning, including advising on mergers and acquisitions.
  • Operational and Compliance Oversight: Skilled in overseeing financial systems and processes, ensuring compliance with regulations, and conducting internal and external audits.
  • Leadership and Collaboration: A team player with strong interpersonal skills, experienced in leading and developing finance personnel and collaborating with executive management on strategic decisions.
  • Risk and Stakeholder Management: Proficient in risk management, negotiating with banks to secure favorable terms, and communicating with stakeholders.
  • Technical Proficiency: Familiar with accounting programs such as JD EDWARD, HORIZON, QuickBooks, and Odoo, along with strong skills in the Microsoft Office Suite.

Based in Riyadh, KSA, Fadi is a highly motivated professional with demonstrated problem-solving and strategic thinking skills.

 

Education

  • 1994 - 1998
    Applied Science University

    B.Sc.

Experience

  • 2024 - Present
    Zajil Express

    Finance Manager

    Developing financial strategies that align with the company’s long-term business goals.
    Overseeing the preparation of the company’s financial reports, including balance sheet, Income statement and statement of cash flows.
    Managing the capital structure of the company, determining the best mix of the debt, equity, and internal financing.
    Ensuring compliance with financial regulations and standards and staying abreast of changes in financial laws and regulations.
    Directing the company’s budgeting process including setting financial targets, performance monitoring and adjusting strategies as necessary.
    Leading the finance team, including accountants, financial analysts, and other finance related personnel, and providing them with direction and professional development.
    Conducting risk management by analyzing the organization’s liabilities and investments and implementing risk mitigation strategies.
    Engaging in investor relations, communicating with shareholders, and providing accurate and timely information to the investment community.
    Implementing and overseeing financial systems, processes, and technologies to improve financial data analysis and reporting efficiency.
    Participating in key decisions as a member of the executive management team, contributing a financial perspective to strategic planning and decision making.
    Negotiating with banks and other financial services providers to secure favorable terms for financing and banking services.
    Advising on long-term business and financial planning including mergers and acquisitions, investments, and capital projects.

  • 2019 - 2024
    Shams Group /Restaurant (Shams Al Balad), Real Estate, Rental Services

    Group Finance Manager

    Prepare the annual estimated budgets in cooperation with all sections of the company Negotiations with banks to obtain the best facilities needed by investments or to continue to practice operations in companies.
    Financial analysis of revenues, costs, and expenses.
    Make periodic monthly comparisons of costs and revenues with the budget and provide solutions to the senior management of areas of weakness or strong achievement.
    Follow up daily and monthly cash flow lists and find out the needs of the establishment of liquidity, whether using banking facilities to finance operations or reducing daily and monthly spending.
    Supervising the process of internal financial and administrative audit as well as supervising external audit and its completion on time in accordance with the laws of the state or the company’s policies
    Completion of the restructuring of the capital of the company that needs and accomplished in cooperation with the legal advisor and external auditor of the company to become the company in accordance with the laws of the state and international accounting standards
    Follow-up and review of sales tax according to the appropriate time of laws to submit lists to the income tax department and pay dues to them either in cash or installments according to the laws Responsible for monitoring Inventory levels and performing inventory reconciliations.
    Negotiate with suppliers to pay their dues and to ensure the supply of goods to the company. Completion of feasibility studies for new projects.
    Follow up on the achievements of employees in the financial department and work on rewarding them financially or providing them with training courses.

  • 2013 - 2019
    Drake & Scull International – PJSC (MEP Contraction) Amman, Jordan

    Finance Manager

    Responsible for the overall functions of the finance/accounting department including financial reporting and control, Cash flow management, Banks, and project finance.
    developing and implementing accounting policies, coordination of systems and procedures, and the preparation of operating data and special reports as required including interim and year-end financial statements.
    Management, development, and motivation of the Accounts and Finance personnel.
    Manages the reporting of management accounts including managing the month-end closing and presenting financial information to senior management.
    Compare performance with operating plans and standards, and reports and interprets the results of operations to all levels of management.
    Establishes, coordinates, and administers as an integral part of management, an adequate plan for the control of operations including, profit planning and financing, Revenue forecasts, expense budgets, and cost standards, together with necessary controls and procedures to effectuate the plan.
    Ensures compliance with all accounting and financial policies, procedures, and Tax laws. Coordinates year-end audits and serves as a liaison between the company and legal counsel. Review and audit bank LC and LG.
    Assures protection for the assets of the business through internal control and assuring proper insurance coverage.
    Maintains vendor and customer relations

Expertise

Linkedin

Languages

English
Proficient

Skills

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