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Islamic Development Bank
Islamic Development Bank Jeddah Saudi Arabia Saudi Arabia
2 months ago
Department
Finance Department
Reporting To
Technically Reporting to Lead Investment Specialist & ALM and Administratively Reporting to Senior Manager, Finance
JOB PURPOSE
• Identifying, evaluating, obtaining approvals and executing investments related to ICIEC liquidity management.
• Applying policies & guidelines designed to minimize risk and optimize returns for ICIEC's liquidity investments.
• Supporting liquidity management including funding and investment activities, financial analysis, bank relationship management, foreign exchange operations, etc. for the treasury investment function of the Corporation.
• Day-to-day operational cash and investment management, portfolio monitoring and reporting.
KEY ACCOUNTABILITIES & ACTIVITIES
Core Responsibilities
• Cash management, cash flow forecasting and investment of excess funds.
• Due diligence for treasury investments (Sukuk, trade finance syndications, real estate, equities, etc.)
• Analyses of foreign exchange risk and hedge... strategies.
• Financial risk management relating to treasury operations.
• Placing transaction orders & Execution (using treasury operations system).
• Assists with written and dashboard reporting for the board and Management.
Investment Management
• Identifies new investment opportunities.
• Undertakes detailed due diligence on potential investment opportunities using financial modelling, investment financial risks analysis, expected returns, mitigants, etc. while ensuring adherence to investment policy and risk guidelines.
• Follows-up with Dealing room/Finance for execution, settlement and reconciliation of outgoing and incoming payments relating to investment accounts.
• Ensuring complete documentation for investment such as deposits with banks, sukuk issues, money markets for Islamic transactions/instruments, short term paper securities etc. to generate the most profitable returns for ICIEC.
Cash Management
• Implements efficient cash monitoring, management and reporting.
• Prepares monthly cash flow forecast with recommendations.
• Coordinates with Finance division for treasury-related accounts reconciliation, including administrative bank account management.
• Monitors compliance with the Liquidity Policy, Investment strategy and Guidelines and proposes rebalancing transactions.
• Minimizes lost investment income due to operational errors, investment transaction delays, early termination of investment positions, etc.
Share Capital
• Coordinates with Finance division regarding maintaining updated positions related to Share Capital subscriptions and prepares related reports as requested by member countries.
Coordination & Communication
• Engages actively and cultivates relationships with industry players including analysts, banks, fund managers, etc.
• Coordinates with IsDB Treasury Department & Middle Office regarding updates to investment instruments, limits, ratings, reporting, etc.
• Coordinates with ICIEC business departments to better understand and continuously update cash requirements planning through system reports or manual data inputs.
• Understands credit rating agencies methodologies, liquidity and investment risk perceptions, and support preparation of all rating agencies documentation and annual review requirements.
• Facilitates and coordinate all Investment Committee investment proposal 'approvals by circulation' and feedback from RMD & GLC on Treasury investment proposals.
• Coordinates with the Senior Dealer and manages all administrative processes for fund management and counterparty relations.
Operational excellence support
• Coordinates with ICIEC business departments regarding cash flow requirements and cash planning and proposes enhancements to streamline and enhance efficiency of the communication and reporting processes.
• Ensures effective implementation and adherence to policies, procedures and guidelines.
• Keeps abreast of latest developments, regulations and best practices in treasury and investment management.
• Implements process improvements to increase efficiency, effectiveness and compliance of investment operations.
• Provides necessary input for preparation of Treasury budgets, strategy and business plans, and monitor actual investment income and expenditure against the approved budget.
Job Type: Full-time
Jeddah Saudi Arabia
Salary Criteria
Jobs in Jeddah Saudi Arabia Saudi Arabia
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