Company DescriptionAre you ready to join us on our exciting transformation journey at the largest bank in the UAE? This is an opportunity to make a real impact on our customers, employees, shareholders, and communities, as part of the FAB team.We\'re committed to our grow stronger movement, and as a member of our team, you\'ll have access to everything you need to advance your career and make a meaningful contribution to our shared success.If you\'re looking for a career that will help you stand out and make a difference, now is the time to join us. Let\'s work together to achieve great things.The role is working in the Group Funding team which is part of the Group Treasury function. The main focus of the role is assisting with post issuance workflow to ensure trades are accurately captured, documented and settled. The role is primarily focused on the post execution phase of the issuance process and reporting.The role will also assist in establishing and updating the Group\'s debt securities programs, producing materials for internal and external presentations and providing quotes internally for deposit origination and termination based on pre-approved matrices.KEY ACCOUNTABILITIES:Recommending Execution of Debt and Derivative Transactions
Understand debt market dynamics through independent research
Understand debt issuance opportunities including hedging derivatives
Review and ensure that trade parameters are within approved policy and risk limits prior to execution.
Post Trade Management
Assist with debt trade documentation end to end
Work with Operations team to ensure debt and derivative settlement
Ensure accurate trade capture and reporting for all transactions.
Program Establishment and Maintenance
Assist in the establishment and update of the Group\'s debt issuance programs
Engage with different stakeholders across the Group to ensure timeliness and accuracy of information.
Internal Pricing and Classification
Quote internal pricing for deposit origination and termination based on pre-approved matrices
#LI-MA3Qualifications
Emirati with family book.
Tertiary qualified with a degree in Finance, Accounting, Economics or a related field
Minimum of 2 years experience in a related field
Ability to interpret key bank ratios and economic indicators
Fluent in spoken and written English
Self-starter with a hands-on approach; able to work independently and diligently on all matters
Multi-task, prioritize deliverables with a balance between attention to detail and timely decision making
Aware of local and international banking environment
Intermediate Excel experience and well versed with MS Office