Mohamed Magbool Attom Mahmoud, Head of Treasury Division

Mohamed Magbool Attom Mahmoud

Head of Treasury Division

Sudanese Egyptian Bank

Lieu
Soudan - Khartoum
Éducation
Master, Accounting & Finnace
Expérience
18 years, 10 Mois

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Expériences professionnelles

Total des années d'expérience :18 years, 10 Mois

Head of Treasury Division à Sudanese Egyptian Bank
  • Soudan - Khartoum
  • Je travaille ici depuis juillet 2005

WORKING EXPERIENCE

Head of Treasury Division (Treasurer ), Sudanese Egyptian Bank-Sudan, Dec 2013- till Present
 Responsible for all Dealing Room activities.(Bank liquidity, Foreing Exchange, Money Market, fixed income portfolio )
 Responsible for directing treasury Division budget, Overseeing investment of excessive liquidity & Lending & borrowing funds
 managing and limiting Bank's Currency position risks & hedging,
 Managing all bank’s fixed income portfolio, and handling mergers and acquisitions.
 Supervising cash management activities,
 Oversees financial planning, and investment of funds for the bank
 Advises management on investments and loans &Forecast for future financial decisions
 Assisting in Arrange insurance coverage
 Supervising All Dealers to ensure efficient utilizing of excessive liquidity of the bank and or best borrowing rates in case of any shortage
 Dealing Cash Shipment (Banknote) Globally
 Manage all banks' liquidity (borrowing & placement) within the risk parameters and guide lines set by Board of Directors & ALCO.
 Oversees the banks money market deal & fx & fi operations on an institutional level with both foreign and Sudanese currencies.
 Managing all bank’s fixed income portfolio, and handling mergers and acquisitions.
 Monitoring FX Currency Position to comply with Treasury Limits as well as CBOS Free Market Limit& credit limits set by the Board of Directors.
 Handling Bank’s Fixed Income portfolio, Trading and Investing in line of Islamic Law.
 Supervising MM Dealers to ensure efficient utilizing of excessive liquidity of the bank and or best ( borrowing lending ) rates in case of any shortage or excess.
 Pricing Deposits for current and potential bank’s clients in different currencies.
 Fulfilling Corporate client’s requirments such as: FX trading, hedging.
 Managing banknote liquidity in the branches & Correspondents Banks liquidity
 Prepare Monthly Reports for the bank’s top management showing various Treasury investments.
 Pricing all new Product ( Assets & Liabilities ).
 Monitoring and Follow up all bank's Product ( Assets & Liabilities ) and ensure impact on Source and Usage of funds ( Cost of fund and Net spread ).
Deputy Treasury Manager, (Chif Dealer), Sudanese Egyptian Bank - Sudan, Dec 2009 - 2013
 Responsible for different foreign exchange deals, whereby execute various spot deals.
 Responsible for Bank's Currency position Supervising both a dealers and Treasury staff and a Central vault staff
 ensuring the staff is adequately performing their job responsibilities and meeting their goals
 Performed analysis of all daily and non-daily financial treasury operations activities.
 Handles tasks of reviewing daily report and assist management with regular monthly reporting
 management the Bank liquidity including forecasting, , investment of excess funds, short term borrowing and interest rate management
 Manage the bank’s fixed income portfolio (Shahama, Shehab).
 Ensure that the Central Bank regulatory limits (Reserve requirements & liquidity ratios) are being complied

Éducation

Master, Accounting & Finnace
  • à Juba University
  • mai 2009

Master Degree of Accounting & Finnace

Baccalauréat, Accounting & Finnace
  • à Bakht Er-Ruda University
  • février 2005

Bachelor (Honours)

Specialties & Skills

FX Trading
Liquidity Management
Treasury Management
Accounting
Money Market
MS word, Power Point
foreign exchange
Money Markets
Treasury
Liquidity management
Fixed Income
Accounting & Finnace
Dealing Room
Internet applications.

Langues

Arabe
Expert
Anglais
Expert

Adhésions

Interarab Cambist Association-ICA
  • ICA Administrative Committee Member
  • March 2012

Formation et Diplômes

ICA - Interarab Cambist Association- Dealing Certificate (Certificat)
Date de la formation:
January 2012
Valide jusqu'à:
January 9999
professional bank. (Formation)
Institut de formation:
CBOS
Date de la formation:
April 2007
Durée:
60 heures
On Job Training in Piraeus Bank, Egypt (Formation)
Institut de formation:
Piraeus Bank, Egypt
Date de la formation:
June 2008
Durée:
72 heures

Loisirs

  • Traveling, Reading, Fast learner & Communicate Easily With People