Muayed Almutawa, Manager Treasury Operations

Muayed Almutawa

Manager Treasury Operations

Alawwal Bank

Location
Saudi Arabia - Riyadh
Education
Bachelor's degree, Economics
Experience
12 years, 3 Months

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Work Experience

Total years of experience :12 years, 3 Months

Manager Treasury Operations at Alawwal Bank
  • Saudi Arabia - Riyadh
  • September 2012 to September 2014

Managing and monitoring the daily processing of all treasury products(FX, MM, IRS, Option, Structure and Capital market) and updating bank's GL records with correct cash flows and payment settlements. Also, ensuring MTM revaluation of hedged, open positions is performed per live and relevant market rates and correcting the accounting entries are passed in strict adherence to international accounting standards.

Manager Treasury Operations at Gulf International Bank
  • Saudi Arabia - Riyadh
  • October 2010 to September 2012

Managing and monitoring the daily processing of all treasury products and updating bank's GL records with correct cash flows and payment settlements. Also, ensuring MTM revaluation of hedged, open positions is performed per live and relevant market rates and correcting the accounting entries are passed in strict adherence to international accounting standards.

Operations Assistant Manager at saudi Hollandi bank
  • Saudi Arabia - Riyadh
  • June 2009 to October 2010

Supervised and monitored the daily processing of Fix Income Securities (Corporate bond, Government bond, Float rate note, Treasury bills and Repo) and Derivatives (Interest rate swap, FX Option, Futures and Forward rate agreement) for Interbank. Updating bank's GL records with correct cash flows and payment settlements. Also, ensuring MTM revaluation of hedged, open positions is performed per live and relevant market rates and correcting the accounting entries are passed in strict adherence to international accounting standards.

Professional activities related to the position: • Prepared client bond position and revaluation reports for treasury.
• Prepared bond summery investment report.
• Communicated with other banks for enquires (Settlement & Investigation)
• Provided assistance and support for the Treasury front office department
• Monitored internal accounts reconciliation
• Identified and resolved any differences in trade details to ensure that transactions settle correctly

Operations Assistant Manager at Foreign Exchange and Money Market
  • July 2007 to June 2009

Jul 2007 - Jun 2009 Saudi Hollandi Bank, Riyadh
Treasury Operations - Foreign Exchange and Money Market unit
Operations Assistant Manager

Supervised and monitored the daily processing of FX, MM transactions, for Interbank and customers. Updated bank's GL records with correct cash flows and payment settlements.

Professional activities related to the position: • Prepared Foreign Exchange cash flow Position for treasury
• Prepared Nostro funding transfer (Cash management) for treasury
• Prepared monthly operation statistic report for treasury operation
• Communicated with other banks for enquires (Settlement & Investigation)
• Provided assistance and support for the Treasury front office department
• Monitored internal accounts reconciliation
• Identified and resolved any differences in trade details to ensure that transactions
• settle correctly

Operations Officer at Foreign Exchange and Money Market
  • February 2006 to March 2007

Feb 2006 - Mar 2007 Saudi Hollandi Bank, Riyadh
Treasury Operations - Foreign Exchange and Money Market unit
Operations Officer

• Prepared Monthly Brokerage Settlement repot
• Prepared Foreign Exchange Cache flow position report for treasury
• Released out going payment from the Stelink System
• Authorized FX, MM, and FX Time Option deals in T24 System
• Prepared and reviewed monthly internal accounts reconciliation and • Resolves discrepancies

Senior Coordinator at Foreign Exchange and Money Market
  • July 2004 to February 2006

Jul 2004 - Feb 2006 Saudi Hollandi Bank, Riyadh
Treasury Operations - Foreign Exchange and Money Market unit
Senior Coordinator

• Processed the daily FX, MM, FX Time option deals.
• Updated foreign currency rates in the system.
• Prepared Monthly Brokerage Settlement repot
• Prepared SAMA financial report M17
• Prepared Foreign Exchange Branch profit & loss.

Coordinator at Saudi Hollandi Bank
  • United Arab Emirates
  • April 2002 to July 2004

Apr 2002 - Jul 2004 Saudi Hollandi Bank, Riyadh
Treasury Operations - Time Deposit and Commercial Loan Unit
Coordinator
• Processed the commercial loans for corporate customers
• (Short-term loans, Long-term loan, Midterm loans, Post finance loans and Syndication loans)
• Processed the time deposits for corporate customers.
• (Normal time deposit and pledged deposit)
• Coordinated and organized the treasury rate between branches and treasury
• Front Office (Dealing room)
• Checked daily transactions reports and send the confirmation to different parties.


PROJECTS
Jan 2004, Globus-T24 System

Education

Bachelor's degree, Economics
  • at King Abdulaziz University
  • January 2001

جيد

Specialties & Skills

ACCOUNTING
EXCHANGE
FOREIGN EXCHANGE
OPERATIONS
RECONCILIATION
SETTLEMENTS
TESTING
THE ACCOUNTING

Languages

Arabic
Expert
English
Intermediate

Memberships

testing and commissioning team for implementation of new core system
  • Member
testing and commissioning team for implementation of new payment system
  • Member
testing and commissioning team for implementation of new reconciliation system
  • Member

Training and Certifications

Bank & Middle Office Management (Training)
Training Institute:
IIR Middle East, Dubai
Date Attended:
March 2012
Duration:
40 hours
Advanced Derivatives (Training)
Training Institute:
SHB Academy, Riyadh
Date Attended:
June 2014
Duration:
24 hours
Operational Risk Management (Training)
Training Institute:
SHB Academy, Al Khobar
Date Attended:
September 2014
Duration:
24 hours
Emotional Intelligence and Situational Leadership (Training)
Training Institute:
SHB Academy, Riyadh
Date Attended:
June 2013
Duration:
24 hours