Money Market Fund Manger
AlJazira Capital
Total years of experience :12 years, 11 Months
• Manage the Money Market fund with a total AUM reach above of SAR 1.8 billion.
• Outperforming the benchmark and the average comparative Funds performance.
• Ensure proper cash utilization and management to enhance fund’s performance and clients’ liquidity requirements.
• Establish the Money Market Fund Risk and Investment policy.
• Ensure adherence to fund internal and external guidelines, including CMA regulations.
• Review counterparties’ agreements and negotiation better terms & conditions.
• Explore new investment opportunities and evaluate new ideas to generate positive alpha within fund’s risk parameters.
• Efficient dialogue on continuance basis with Research, Chief Investment Officer, and Investment Committee.
• Coordinate with internal and external parties and maintain business relationships.
• Acting manager for the Fund of Funds “aggressive, balanced, and defensive” at the Funds inception for around six months. I have contributed in the Funds allocation, investment, and procedures.
• Conduct Fund’s market research and analysis.
• Terms and conditions development.
• Effectively contribute in the Funds internal procedures development.