Wael Mnasour, مراقب مالي

Wael Mnasour

مراقب مالي

تحالف الامارات

Location
United Arab Emirates - Abu Dhabi
Education
Bachelor's degree, Accounting
Experience
9 years, 10 Months

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Work Experience

Total years of experience :9 years, 10 Months

مراقب مالي at تحالف الامارات
  • United Arab Emirates - Abu Dhabi
  • My current job since June 2018

مراقب مالي لكافة المدفوعات المالية الصادرة من الهيئة واداره كافة السلف النثرية وادارة ملف الاصول الخاص بالهيئة .

Senior Officer at Dubai Islamic Bank
  • United Arab Emirates - Dubai
  • February 2009 to April 2010

1/02/2009 to 08/04/2010 Senior Officer, Treasury Operation Dubai Islamic Bank
• Responsible for controlling and managing brokerage and equity operations, including Back Office and Middle Office for all FX deals Internal Bank and inter Bank (Spot & Forward)
* Inter Bank
• Exchanging of MT 300 (swift confirmation)
• Releasing payment MT 202, 210 & MT 200 Bank to Bank Transfer.
• Releasing MT 199 (promise offer)
• Verify of SSI before releasing payment.
• Passing relating entries in core banking system.
• Handling all file documentations.
• Using MS. Office for (promises, job order and counterparty limits, etc)
• Daily position
• Familiar with treasury system (SunGard)
* Internal Bank
• Handling all corporate customers.
• Exchanging deal promises and instruction.
• Passing related entries in core banking system.
• Checking all receiving documentations from trade department branches remittance department to action the related deals.
• Open new counter party account in treasury system.
• Checking broker limits counterparty limits and approvals.
• Handling all documentations.
• Monthly reconciliation and contingent P/L.

Supervisor, Direct Equity, Real Estate at Investment & Escrow Account Operation Dubai Islamic Bank
  • United Arab Emirates - Dubai
  • June 2006 to January 2009

1/6/2006 to 31/01/2009 Supervisor, Direct Equity, Real Estate Investment & Escrow Account Operation Dubai Islamic Bank
Direct Equity Department: • Manage all operational activities in relation to new investments
that belong to direct equities such as: open GL accounts, make payments, follow up with broker.
• Follow up with market stock.
• Create Management Information System (MIS) report.
• Create an exception report.
• Create portfolio performance.
• Create market valuation report.
• Create portfolio break down analysis.
• Create year to date report ( trading, purchase, profit on sale, market valuation dividend, bonus shares, foreign currencies)
• Posted all necessary entries.
• Describe and discussed all the portfolio performance with internal and external audit.
Real Estate Finance and Investment Department: • Execute property purchase and sale deals of bank private assets.
• Payment of related fee's to any sale and purchase deal of our bank assets
• Keep a record of sale and purchase assets.
• Create reports
• Create MIS report
• Manage and Solve different kind of problem related to the real estate investment portfolio / operation.
• Provide support document to the auditors.
• Manage the bank building ( income, contracts, operating cost, etc)
Depreciate DIB buildings
Escrow Accounts: • Following all RERA (Real Estate Regulation Agency)
• Opening Accounts
• Handling all Units Application.
• Recovering fees.
• Daily monitoring and reconciling all accounts.
• Handling all accounts with customer.
• Issuing payments (construction, management expenses, sales and marketing, expenses and any payment approved by RERA)

Education

Bachelor's degree, Accounting
  • at Ajman University
  • January 2002

B.Sc. Accounting - 2003 UAE Ajman University ACPA FROM UK - 3-2022

Specialties & Skills

Real Estate Finance
Banking Operation
Real Estate License
ACCOUNTS WITH
AND MARKETING
AND SALE
CONTRACTS
EQUITIES
FINANCE
MARKETING

Languages

Arabic
Expert
English
Expert

Training and Certifications

yes (Certificate)
Date Attended:
February 2008
Valid Until:
February 2008