Job Responsibilities:
- Formulate and implement the money market strategy
- Supervise inter-bank money market trading affairs while monitoring all risks
- Ensure every trading position is undertaken within the set parameters, company’s internal policies, controls and regulatory guidelines
- Remain up to date on developments in the industry in order to improve operational efficiency and make timely decisions
- Assist the Head of Treasury in managing/increasing the liquidity of the company’s Balance Sheet along with GAP management
- Maintain cash reserve and SLR with SBP as per regulatory requirement.
- Assist the Head of Treasury in structuring bond term sheets, prospectus and other marketing materials.
- Assist the Head of Treasury in coordinating with regulators for approvals of issuance of bonds
- Assist the ALCO secretary in ALCO matters.
- Approach potential investors for presenting and resolution of their queries for successful issuance of bonds/sukuks etc.
- Monitor, assess and manage ALM gaps resulting from investments, refinance loans or bond issuance.
- Build and manage relationships with counterparties.
- Forecast interest rates, analyze and provide market information to enable better decision making
- Any other duties may be assigned from time to time.
Job Specification::
- Undergraduate / Postgraduate degree preferably in Finance.
- Minimum 3 years’ experience in money market or Treasury management exposure
- Strong understanding of Money market products, regulations, economic & market environment, financial instruments, bank products & processes
- Experience working with Banks, DFI & Brokers
- Ability to work under pressure whilst retaining the essence of good interpersonal skills
- Excellent verbal and written skills in English