Job Content:
1- Investment trade operation (operations controls l zero discrepancy):
- Manage and execute trades for high-net-worth individuals and institutional clients.
- Coordinate with RMs/clients for the accurate deal details and input the requirements.
- Ensure compliance with required trade documents (process / regulations)
- Come up with recommendations to enhance systems system and process.
- Develop and implement trading strategies.
- Analyze market data and identify trading opportunities.
- Maintain up-to-date knowledge of equity fixed income markets and mutual funds.
2- Risk Control (Portfolio metrics, risk management process metrics, qualitative measures):
- Conduct risk assessments.
- ensure compliance with all regulations.
- Handle audit /compliance queries related to trade operations.
- Developing risk management P&P
- Reporting risk metrics and communicating risk information to relevant stakeholder.
- Investigating and resolving risk incidents
3- Leadership (Team management, strategic):
- Provide training and mentorship to junior traders.
- Manage a team of traders.
4- Manage stakeholder’s (Collaboration and teamwork):
- Work closely with wealth managers, analysts, and others team members to achieve client goals.
- Participate in team meetings and discussion.
- Work closely with risk management team, compliance officers, analysts, wealth managers, service, and operation team.
5- Self- Development (Knowledge and skill development):
- To contentiously strive for self-development and improvement by identifying training/coaching needs and communicating them in timely manner to supervisor as appropriate.
Candidate Qualifications:
Education: Bachelor's degree in finance, economics, or a related field.
Experiences: Minimum 5 years banking experience within a similar position/role. Proven track record of success in managing and executing trades.