Describing the overall objective of the job and, essentially, why the job exists. What needs to be done to achieve results.
Lead and oversee end-to-end Treasury and Investment Operations covering FX, money market, fixed income, derivatives, Islamic treasury products, syndications and related settlement activities, ensuring timely, accurate and controlled execution in line with agreed SLA/TAT.
Strengthen operational resilience, maker-checker controls, reconciliations, accounting accuracy, exception management and regulatory compliance while maintaining clear ownership across the transaction lifecycle.
Drive process digitization, control automation, system enhancements, audit readiness, AML/sanctions adherence, business continuity, data quality and continuous improvement across Treasury and Investment Operations.