Effective Management of the Treasury & Capital Markets Operations department & centralized payments & Remittances department in relation to business line activities , while having the required knowledge and ability to cover all operational needs for any future expansion of activities.While ensuring timely processing, settlements and accounting of FX , MM , Derivatives, Custody Activities & Capital Markets various products entries ( local & overseas ) , should also follow bank's internal operational policies & procedures to ensure applying adequate control on the dealing room trading activities and monitor any market risk or credit risk, highlighting and escalating any deviation from authorized limits.