Corporate Finance
Capital Investments (Investment Arm for Capital Bank of Jordan)
Total years of experience :17 years, 3 Months
Leading and co-leading on M&A deals
Financial advisory for private and public companies
Investment Banking (both sell side and buy side)
Established the Investor Relations Department reporting directly to the Chairman.
Attending IR seminars and meeting potential institutional investors and global fund managers.
Building and managing strong relationships with all stakeholders, including the equity research and investor community.
Managing the IR website for the Bank to serve and provide the financial needs for current and potential investors.
Providing insightful feedback to the Chairman and executive management on investors sentiment and various industry issues.
Deep knowledge of capital markets and financial performance metrics.
Leading the production of periodic reports such as earning releases, IR presentations.
In charge of both business and credit units.
Establishing and managing active FI relationships with local and foreign institutions.
Strengthening core business relationships with prime Banks and Financial Institutions to ensure proper and solid correspondent coverage worldwide.
Conducting financial and non-financial reports on FIs and reporting to group head.
Liaising with other business units to ensure all issues relating to banking transactions are effectively dealt with and in a timely manner.
Cross-selling the Bank’s products to counterparties.
Conducting regular analytical reports on the Jordanian economy and banking sector and presenting them to the executive management.
Leading financial analysis and evaluations of investment approaches and opportunities.
Liaising with the bank’s executive management and investment committee on the decision making of investment opportunities and the bank’s strategies.
Overlooking feasibility and capital budgeting studies.
Conducting all company valuations.
Valuing, analysing and evaluating the performance of the Bank’s subsidiaries aiming towards taking strategic decisions and recommending any necessary corporate actions to the executive management.
Leading financial analyses on companies and looking into liquidity and profitability ratios, in addition to examining cash management and capital structure.
Formulating valuation models for public equities and achieving high returns through minimal risk exposure.
Supervising the research department on Buy-Side and Sell-Side equity reports.
Managing IPOs, Private Placements, and Bond Issues for both public and private Companies.
Bachelor Of Commerce, major in Finance Dec 2006 Concordia University - John Molson School of Business (JMSB), Montreal- Canada Related courses taken (Grade): - Financial Accounting (B) - Analysis of Markets (A-) -Introduction to Finance (A-) -Investment Analysis (B+) -Personal Finance (A) -Portfolio Management (A) -Theory of Finance I (A) -International Finance (A) -Theory of Finance II (B) -Short-Term Financial Management (B+) -Options and Futures Markets (A) -Building Profitable Trading Systems (A-)