control and business support
alinma bank
Total years of experience :15 years, 6 Months
Treasury group
- Handle the Foreign Exchange & Money Market (Murabaha) Transactions & Settlement.- Preparing UAT scenarios for all Treasury Operation related products.
- Coordination with all Alinma bank IPO funds collectors to insure smooth flow of IPO funds.
- Coordinate the process of investing Alinma bank IPO funds in Murabaha deals before official bank lunch.
- Participated in Sarie testing to link Alinma bank to SAMA live Sarie system.
- Prepare/Revise/review related product procedures/policy’s.
- Prepare the process flow chart for all treasury products.
- Responsibilities include directing and controlling activities relating to Treasury Operations:
1- manage the Processing and Settlement functions and ensure that all treasury & Investment
companies’ transactions are effectively executed in accordance and in compliance with Risk
Management and Shari’ah framework and ensure that all Processing and Settlements staff
adhere to these policies and procedures.
2- Participation in new business opportunities / development of new products and services in collaboration with Treasury and / or other internal stakeholders.
- Handle the Foreign Exchange & Money Market (Murabaha) Transactions & Settlement.- Preparing UAT scenarios for all Treasury Operation related products.
- Prepare/Revise/review related product procedures/policy’s.
- Prepare the process flow chart for all treasury products.
- Responsibilities include directing and controlling activities relating to Treasury Operations:
1- manage the Processing and Settlement functions and ensure that all treasury & Investment
companies’ transactions are effectively executed in accordance and in compliance with Risk
Management and Shari’ah framework and ensure that all Processing and Settlements staff
adhere to these policies and procedures.
2- Participation in new business opportunities / development of new products and services in collaboration with Treasury and / or other internal stakeholders.
- supervise the Foreign Exchange & Money Market Transactions & Settlement.
- Prepare/Revise/review related product procedures/policy’s.
- Responsibilities include directing and controlling activities relating to Treasury Operations:
- manage the Processing and Settlement functions and ensure that all Money Market and Foreign Exchange transactions are effectively executed in accordance and in compliance with Risk Management and Shari’ah framework and ensure that all Processing and Settlements staff adhere to these policies and procedures.