Abdullah Baghdadi

Abdullah Baghdadi Email and Phone Number

Founder and CEO of Syrian Fintech Hub @ Syrian Fintech Hub
Shaalan, Damascus,Syrian Arab Republic
Abdullah Baghdadi's Location
Istanbul, Türkiye, Turkey
Abdullah Baghdadi's Contact Details

Abdullah Baghdadi personal email

About Abdullah Baghdadi

I have 30 years of functional experience in managing Finance & Accounts, Project Finance, Treasury functions and Cash flow & Cash management, Self-motivated, Result oriented and hardworking professional with demonstrated success in manpower management, Resource allocation/optimization, Customer relationship management. Demonstrate good judgment with the ability to make timely and sound decisions. Versatility, Flexibility, and a willingness to work independently with minimal supervision, as well as contributing and collaborating as productive team member. Effective communicator with proven ability to understand and convey complex information in clear and concise manner. My practical experiences were in the field of food, canning, restaurants, animal feed, establishment of companies and factories, retail sector, business sector, manufacturing, contracting, building materials and real estate development .Key Professional Skills include:Vision & Strategic Financial Planning , Business Analysis , Financial Control , Financial Reporting Fund Management , Project Finance , Budgeting & Forecasting , Analytical Reviews , Statutory Compliance , Auditing , MIS Reporting , Relationship Management , Team Building & Leadership ,Trouble Shooting .Working in large & complex environments by :Communicator - Collaborator - Co-creator ( Stakeholders ) - Commander leadership – ( Lead with Passion ) - Teamwork - Transparency - Work with Objective, Scope , and Method - Adapting with different levels of employees and managers.Working by Results driven :Motivated by success - Achieving higher results - Complete tasks / responsibilitiesMeasurable achievements : • Increase in profitability 15%• Reduce direct cost and G&A 30% • Reducing customer debt 42% • Reducing stock limits with achieving the optimum turnover stock ratio by 50%• Number of projects - 45 projects• 3 awards ( SAP – VAT – IFRS ) • Supervised up to 150 employees• Managed bank facilities up to $266.5 million• Managed Sales up to $550 million

Abdullah Baghdadi's Current Company Details
Syrian Fintech Hub

Syrian Fintech Hub

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Founder and CEO of Syrian Fintech Hub
Shaalan, Damascus,Syrian Arab Republic
Employees:
5
Abdullah Baghdadi Work Experience Details
  • Syrian Fintech Hub
    Founder And Ceo Of Syrian Fintech Hub
    Syrian Fintech Hub
    Istanbul, Turkey
  • Chartseven
    Founder & Ceo
    Chartseven Jan 2022 - Present
    Istanbul, Turkey
    ChartSeven is a consulting firm that focuses on company's processes, growth management, strategic objectives and implementation challenges by partnering senior managers and business owners to reach their goals and create the value they are looking for.ChartSeven believes in blending cumulative experiences with digital and human capabilities to achieve success and sustainability. Our success depends on a spirit of deep collaboration with our clients, our people, and our firm.
  • Madar Group - Headquarters
    Group Co-Ceo
    Madar Group - Headquarters Jul 2020 - Jan 2022
  • Al Kimam Holding
    Group Cfo
    Al Kimam Holding Jun 2016 - Jul 2020
    Jeddah, Makkah Region, Saudi Arabia
  • Sale International   Llc
    Cash Management & Treasury Director
    Sale International Llc Jun 2014 - Jun 2016
    Saudi Arabia
    •Implement day to day financial decisions based on evaluated daily cash requirements and potential cash flow•Maintain adequate liquidity by optimizing utilization of funds at minimal costs by implementing effective cash handling methodologies•Ensure compliance to organizational policies, accounting principles and statutory regulations for maintaining updated accounting status•Participate in various internal & external audits based on statutory requirements and update the senior… Show more •Implement day to day financial decisions based on evaluated daily cash requirements and potential cash flow•Maintain adequate liquidity by optimizing utilization of funds at minimal costs by implementing effective cash handling methodologies•Ensure compliance to organizational policies, accounting principles and statutory regulations for maintaining updated accounting status•Participate in various internal & external audits based on statutory requirements and update the senior management for effectively implementing audit recommendations•Build & maintain productive business relationship with banking & financial institutions •Manage banking operations aimed at cash & liquidity management, automated bank reconciliations, treasury management solutions and e-banking solutions•Implement product & service innovations to optimize cash flow, working capital and accelerated cash flow cycle•Collaborate with the legal fraternity for initiating legal proceedings against perennial defaulters and for mitigating other fraudulent cases•Collaborate in defining & aligning department’s treasury strategy to organizational business objectives•Define KPIs for the treasury department including treasury policies & procedures (with appropriate controls & authorization levels across the Strategic Business Units) for maintaining seamless operations•Prepare & implement treasury risk management and liquidity contingency plans to minimize business impact of changing market dynamics and other related factors•Prepare & present various reports on cash flow status, forecasts, investment and banking facilities to the senior management and other stakeholders to enable effective decision making•Maintain & archive updated financial records of day to day business transactions based on operational and statutory requirements•Collaborate with internal & external auditors in preparing various audit reports and follow up with respective teams in implementing audit recommendations Show less
  • Ikk Group - Isam Khairy Kabbani Group Of Companies
    National Financial Controller / National Treasury & Trade Manager
    Ikk Group - Isam Khairy Kabbani Group Of Companies Jun 2011 - Jun 2014
    Jeddah
    -Heading and managing a team of 10 members and reporting to the CFO-Managing documentations concerning Contract, Letter of Intent, Letter of Proceeds, cash flow, P&L, etc.-Involved in reviewing the Bank Facility Requirements for the Project including LC’s, LG’s, Mobilization, etc.-Monitoring the Facility Line for Project Finance and scrutinizing the Projects status reports monthly.-Assigned responsibility of managing the cash flow for all regions and achieving the forecast… Show more -Heading and managing a team of 10 members and reporting to the CFO-Managing documentations concerning Contract, Letter of Intent, Letter of Proceeds, cash flow, P&L, etc.-Involved in reviewing the Bank Facility Requirements for the Project including LC’s, LG’s, Mobilization, etc.-Monitoring the Facility Line for Project Finance and scrutinizing the Projects status reports monthly.-Assigned responsibility of managing the cash flow for all regions and achieving the forecast collections.      -Monitoring basis bank transaction to ensure no shortage of liquidity and providing the needed funds for all regions and PU’s.-Managing Project Finance & Project Pool & Follow up on Bank Facility renewals.-Responsible for administering the letter of credit guarantee compliance with international standards and Bank requirements & ensuring follow up of expired LG’s from business units.-Administer the letter of credit documents to determine compliance with international standards and Bank requirements.-Monitoring due dates of LC refinance to ensure availability of adequate funds with the corresponding banks to settle maturing LC’s and LC refinance.-Optimization activities for the Banking facilities and involved in reducing cost of the facilities.-Implementing the financial policies and directives of company and maintaining good relationships with bankers and creditors.-Key person to maintain reporting system to the banks monitoring monthly and annual closing.-Meeting with the auditors to answer all the queries to their satisfaction and resolving all the points as suggested and recommended.-Formulating and implementing policies, procedure and paper cycle of paper documents for smooth handling of asset management.-Liaise and coordinating with the RFC to ensure the fixed assets register is managed and maintained in compliance with the “fixed assets register procedure.”-Preparing reports on Combined Financial Statements, Consolidated Show less
  • Itsalat International Company
    Financial Manager
    Itsalat International Company Aug 2007 - Apr 2011
    Syria
    •Directs the activities of the accounting departments and maintain financial ac-counting records through the supervision of general ledger, stock ledger, ac-counts receivables, accounts payables, payroll, fixed assets and accounting in-formation system.•Manages available financial resources through the correct expense projection, revenue forecast, and according to the established and maintained accounting policy and procedures.•Directs the end of month accounts, year-end closing… Show more •Directs the activities of the accounting departments and maintain financial ac-counting records through the supervision of general ledger, stock ledger, ac-counts receivables, accounts payables, payroll, fixed assets and accounting in-formation system.•Manages available financial resources through the correct expense projection, revenue forecast, and according to the established and maintained accounting policy and procedures.•Directs the end of month accounts, year-end closing, accounting analysis & reporting , operating expenses, billing & collection, and taxation•Ensures that all accounting policies and procedures are in line with IFRS•Advises on desirable operational adjustment with an eye on the audit standards set by internal and on external auditors•Prepares L/C’s & L/G’s •Prepares monthly expenses and P&L reports and monthly financial statements, submits them on time to the head office in Dubai and back up to G.M.•Directs presentation of monthly financial information and report results to G.M•Directs the preparation of the annual and mid-year budgets and implements the needed achievement programs for these required budgets. •Directs budget presentation for Nokia meeting in the presence of senior man-agement and relevant parties.•Evaluates and compares between actual and planned budgets and analyses deviations to top management. Show less
  • Al-Namaa Shareholding Company
    Financial Director
    Al-Namaa Shareholding Company Jun 2002 - Dec 2007
    Damascus
    * Managing and guiding the accounting departments and maintain financial accounting records.* Ensure maintaining general ledger, stock ledger, accounts receivables, accounts payables, payroll, fixed assets and accounting information system.* Involved in financial resource orchestration, budgeting and forecasting.* Key person for formulating and implementing accounting policy and procedures.* Analyzing each customer’s account on a monthly basis and prepared receivables ageing… Show more * Managing and guiding the accounting departments and maintain financial accounting records.* Ensure maintaining general ledger, stock ledger, accounts receivables, accounts payables, payroll, fixed assets and accounting information system.* Involved in financial resource orchestration, budgeting and forecasting.* Key person for formulating and implementing accounting policy and procedures.* Analyzing each customer’s account on a monthly basis and prepared receivables ageing report to direct credit meeting with sales department.* Monitored revenues/expenses and ensuring compliance of the established guidelines, and investigating/ analyzing variances to plan.* Analyzing the input and updated data to the payroll system to finalize the salaries transfer to employees' accounts properly and in a timely manner.* Preparing reports for the Management after analyzing the financial data, business operating trends, obligations costs, revenues, and financial commitments to achieve the financial objectives.* Directing the end of month accounts, year-end closing, accounting analysis & reporting, operating expenses, billing & collection, and taxation.* Involved in establishing, maintaining and developing standard cost and inventory system in coordination with the supply chain department and managing consolidation for all financial statements related to all entities. * Preparing special reports model, analysis and assessments to assist in the preparation of statistical studies. * Identifying individual training needs and working towards eliminating weaknesses through training and one-on-one sessions. Show less

Abdullah Baghdadi Education Details

Frequently Asked Questions about Abdullah Baghdadi

What company does Abdullah Baghdadi work for?

Abdullah Baghdadi works for Syrian Fintech Hub

What is Abdullah Baghdadi's role at the current company?

Abdullah Baghdadi's current role is Founder and CEO of Syrian Fintech Hub.

What is Abdullah Baghdadi's email address?

Abdullah Baghdadi's email address is ab****@****hoo.com

What schools did Abdullah Baghdadi attend?

Abdullah Baghdadi attended The Arab Academy For Management, Banking And Financial Sciences, Damascus University, Arab Academy Of Banking And Financial Sciences, The Arab Academy For Management, Banking And Financial Sciences.

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