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Mohamad
Omaizat
CFO
TaxFix
Mohamad Omaizat is passionate about leading and growing businesses with purpose and discipline. With 30 years of experience across investment banking, private equity, growth company scaling, and C-Level leadership, he partners with investors and leadership teams to drive transformational growth, international expansion, and value-creating transactions - at scale-up, later-stage, and enterprise level. Mohamad currently serves as Group CFO and Managing Director at Taxfix SE, Europe's leading AI native financial platform for digital tax solutions, whose mission is to fix finance for all. His career spans some of the world's most dynamic companies and markets. From executing billion-dollar IPOs, M&A, and other capital market transactions at UBS, Barclays Capital, Lone Star Funds, and Rocket Internet, to leading financial restructuring and operational transformation as International CFO at WeWork, Mohamad's geographic experience is global across Europe, Americas, Asia, and Africa. He has built deep expertise in navigating complexity and delivering results across both operational and transactional challenges. Mohamad shapes corporate development, drives performance, and creates sustainable, high-impact growth - anchored in delivering real customer value. Equally, he brings rigorous financial governance, audit oversight, legal & compliance, and risk management discipline, ensuring that growth is built on solid foundations and the highest standards of accountability.
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04 November 2026 14:30 - 15:15
Panel: Managing risk in a world that wont sit still
The risk landscape has fundamentally shifted. Geopolitical instability, regulatory complexity, cyber threats, and economic volatility create an operating environment where traditional risk management frameworks prove inadequate. CFOs must navigate unprecedented uncertainty while maintaining operational confidence and stakeholder trust. This session explores how finance leaders are building organizational resilience and making decisive choices despite incomplete information. Discover how to evolve your risk management approach from static annual assessments to dynamic, real-time monitoring that captures emerging threats and opportunities. Learn frameworks for scenario planning, stress testing, and decision-making under uncertainty that enable confident strategic choices. Key Takeaways - Evolve Risk Governance: Move from annual compliance-focused risk assessments to continuous monitoring and dynamic risk frameworks that capture geopolitical, regulatory, operational, and financial threats. - Build Organizational Resilience: Practical strategies for stress-testing operations, diversifying exposures, strengthening contingency planning, and creating adaptive systems that flex under pressure. - Lead Through Uncertainty: Frameworks for scenario planning, transparent risk communication, and decision-making approaches that enable confident strategy execution despite incomplete information.