The incumbent is responsible for:
- Effective management of Treasury and Capital Market Operations, pertaining to transactions done for ALM, regulatory and proprietary portfolio. Enforce adequate control on the dealing room activities, setup process for effective control on operational risk, monitoring of authorized limits and to ensure timely settlement of Financial & Capital Market products.
- Implement new control measures in line with regulatory framework. Working as bridge between business and IT project team in developing comprehensive requirements which include existing process/functions, process improvements, new functionalities, UAT preparation, UAT-testing, post implementation system review & validation.
- To effectively manage day to day planning, operations and problem solving to ensure high quality service delivery as per agreed SLAs/TATs and SOP/ local rules.
- Ensure preparation of comprehensive functional and procedural requirements of business groups for implementation of the new products/initiatives on treasury systems and its interfaces with various processes and systems.
- Should have in-depth knowledge on Financial Market and Capital Market products, local settlement process and regulatory guidelines related to treasury.
- Should be able to assist business and work towards best practices with zero compromise on controls and regulatory guidelines.
- Monitoring and ensuring that all FX, Money Market, and other Capital Market products are within the approved limits.
- Facilitate documentation of all processes, operational risks and detailed process flows.
- Ensure there is a robust settlement process with a digital flow and with minimal manual intervention.
- Ensure accounting standards are followed, with complete knowledge of accounting different events related to all the products dealt by Treasury and Capital Markets (including FX, MM, Derivatives, Equities and Fixed Income securities)
- Should be familiar with local settlement process for all these products including settlement of government securities (T-Bills, Fixed Rate/Floating Rate Investment bonds and Sukuks)
- Document and oversee process flow for validation, confirmation, settlement, accounting, reconciliation, and reporting related to treasury transactions.
- Ensure system implementation to cover all end-to-end flows and events of the products involved. All life cycle events of these products to be facilitated in the system.
- Ensure treasury and organizational policies are always adhered to.
- Work closely with all relevant stakeholders including but not limited to Treasury Front office, Market Risk, Finance, Accounting unit and Technology.
- Graduate in Finance / Accounting or related field with thorough and in depth understanding of Treasury function including Middle Office and Operations.
- A minimum of relevant 8-10 years’ experience of Treasury and related functions.
- Have in-depth knowledge of financial market products, settlement methods, treasury documentation, related limits, and treasury accounting.
- Proven ability to thrive in a fast-paced, high-growth environment and adapt to changing work environments with the ability to prioritize tasks and initiatives.
- Proven leadership skills, strong intellect, and a disciplined agent of changes.
- Experience with financial modeling and cash forecasting.
- Ability to apply industry best practices to design, develop and implement operational risk mitigation strategies.
- Interpersonal skills with excellent team management, decision making and communication skills.
- Good project management skills and comfortable with using Data to manage and optimize Operations.
Report job