VP - Head of Treasury & Capital Markets Operations
Soneri Bank Limited
مجموع سنوات الخبرة :24 years, 7 أشهر
Managing FX/MM, FI, TFC, Equity, Mutual Funds, and Margin Trades Portfolios Settlements with a team of 10 professionals.
Implemented Web Tech system for FX, MM FI, Shares, Mutual Funds, and Margin Trades.
Preparation & Submission of Annual Budgeting & Planning of Treasury Operations.
Execution of ISDA and MRA agreements with Local and International Counterparties.
Inculcate efficient processes towards stringent cost control, efficiency gain & enhancing capacity.
Member of Market and Liquidity Risk Management Committee.
To oversee the people management and development by providing them necessary Training & Development, Delegation, and involving them into relevant project/s / assignments.
Goal Setting, Mid-Year and Year-End Appraisal all staff members.
To assist bank’s Business Continuity Plan / Disaster Recovery Plan teams in drawing up Treasury Business Continuity Plan & Disaster Recovery Plan.
To manage Foreign Exchnage, Money Market, Fixed Income, & Derivative Operations.
To Manage the FX Operations.
To manage the Liquidity and Market Risk of Treasury Activities and Bank Overall.
To Control Review of Trade Fianace, Guarantee, s Remittances, Account Opening, Treasury Operations, Consumer Operations, Customer Call Centre and All Branch Banking Opeations Review.
To manage the FX and MM Operations.
Managment and Financial Reporting to DB Regional Office.