Senior Rates Investment Officer at the Saudi National Bank (SNB), where I play a key role within the Treasury Investment team in managing one of the largest fixed-income portfolios in the region. With a strong foundation in finance and investment, I contribute to SNB’s financial performance through strategic investment decision-making, rigorous portfolio management, and comprehensive investment monitoring and reporting.
I am committed to excellence in fixed income markets, leveraging my analytical skills and market insight to identify high-value opportunities and manage risk effectively. My work directly supports SNB’s financial objectives and ensures robust returns for stakeholders.
I hold a Bachelor of Finance from Capilano University in Vancouver, Canada, and a Diploma in Banking from Kaplan Professional Middle East and Harvard, equipping me with a global perspective and specialized knowledge in banking and investment management.
Senior Rates Investment Officer who manages one of the region’s largest bank-owned fixed income portfolios, with heightened responsibility and accountability for investment outcomes. Responsible for developing and executing investment strategies, identifying and evaluating high-value opportunities, and optimizing portfolio performance through rigorous risk management. Provides senior management with comprehensive performance analysis and actionable recommendations, supporting informed decision-making at the highest levels.
Key Responsibilities
• Portfolio Management: Management and optimization of a significant fixed income portfolio.
• Investment Strategy: Develops and implements sophisticated investment strategies to maximize returns.
• Opportunity Analysis: Identifies, evaluates, and executes high-value fixed income investment opportunities.
• Trade Execution: Executes trades efficiently to achieve optimal portfolio performance.
• Risk Management: Monitors and manages portfolio risk, ensuring alignment with institutional objectives.
• Stakeholder Reporting: Prepares and presents detailed performance analyses and actionable insights to senior management.
Manage one of the region’s largest bank-owned fixed income rates portfolios. Identify and evaluate investment opportunities, execute trades, and monitor performance to maximize returns and manage risk. Develop investment strategies, ensure regulatory compliance, and report portfolio results to senior management.
Key Responsibilities
• Investment Opportunity Analysis: Identify and assess fixed income investment opportunities.
• Trade Execution: Execute trades efficiently and at optimal pricing.
• Portfolio Monitoring: Track and analyze portfolio performance.
• Strategy Development: Formulate and implement investment strategies.
• Risk Management: Monitor and mitigate portfolio risks.
• Reporting: Communicate results and insights to senior management.
In collaboration with Harvard and Kaplan universities, the program offers a comprehensive learning experience covering the following topics:
-Retail and Wholesale Banking, Banking Products, and Banking Strategy
-Treasury, Finance, Investment, and Business Acumen
-Digital Banking, Data Science, and Digital Transformation
-Compliance, Banking Regulations, Ethics, and Code of Conduct
-Relationship Management, Customer Centricity, and Customer Experience
-Operational Excellence, Governance, and Risk Management
-Leadership, Negotiations, Influencing, Communications, Problem Solving, Judgment & Decision Making
-Experimental Learning, Action Learning, Simulations, Coaching & Mentorship, and Self-Lead Learning and Research.