Senior Manager Treasury
CurrentFormulate and implement the Investment strategy in order to maximize revenue.Manage bonds, Treasury bills and Sukuk portfolio of the company by formulating long term and short-term view on the economy within credit, interest rate risk and liquidity parameters.Participate in inter-bank money market for managing liquidity shortfalls/surpluses through Repo and Call/Clean transactions while adhering to all market and credit risk limits.Ensure every Investment position is undertaken within the set parameters and guidelines provided by the management, ALCO and SBP.Maintain statutory requirements of CRR and SLR with SBP as per regulatory requirements.