Ensure that the operational process & procedures are developed, reviewed and updated on a regular basis and in accordance with local regulation.
Process transactions in a timely manner and confirm promptly to clients, ensuring all queries are escalated or resolved within agreed timelines, procedures, and guidelines.
Ensure effective internal controls are maintained and followed.
Support the sales/trading desk with trade booking & position management on a daily basis.
Work with partners in Finance to ensure that accurate P&L figures are fed to the general ledger and management reporting for the business in the Kingdom.
Ensure that all relevant reconciliations on stock/cash positions are controlled and reported on time.
Follow up on corporate actions and company announcements and cash settlements.
Ensure ALL queries are dealt with promptly and efficiently.
Required qualifications, capabilities, and skills:
University Graduate / Bachelor’s degree.
Fluency in written and spoken English & Arabic.
Acquaintance with MS Office suite of applications.
Team player, ability to perform under pressure.
Ability to develop procedures and work on various projects.