Rahim Suleiman Resume

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1. RAHIM SULEIMAN Phone: +255 779 000 112 Marital Status: Married Date of Birth: 27TH April 1982 Gender: Male Email: rahim.suleiman@gmail.com OBJECTIVE: A position where…
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  • 1. RAHIM SULEIMAN Phone: +255 779 000 112 Marital Status: Married Date of Birth: 27TH April 1982 Gender: Male Email: rahim.suleiman@gmail.com OBJECTIVE: A position where my outstanding knowledge and work experience can be utilized to enhance the company's profitability. Finance Management professional with experience in the field of FX trading, enriched with knowledge in asset – liability management, risk management and foreign exchange trading. SKILLS AND STRENGTHS ♦ Outstanding abilities to work independently and in groups. ♦ Strong organizational, interpersonal and communication skills. ♦ Excellent presentation skills, able to communicate well with my audience. ♦ Adapt very easily to changes and have worked in various environments and areas. ♦ Strong Managerial abilities and detail orientated. ♦ Strong Customer service background. RELEVANT WORK HISTORY NIC Bank (T) Limited Aug 2015 – To date Senior Treasury Dealer In charge for assets and liabilities management Oversee FX and MM trading strategies for the branch Actively investing in treasury bills Managing bank’s liquidity within approved limits Managing BOT Statutory Minimum Reserves and balances efficiently with zero shortfalls Ensure minimum idle balances, zero overdrafts in all FCY accounts through placements, borrowings, swaps and FX deals Managing and ensuring foreign exchange is compliant with regulatory requirements Ascertain future funding needs Monitor liquidity levels in branches to ensure branches operate on a sound liquidity position through report on huge cash withdrawals and reporting of big cheques issued in favor of other banks and financial institutions. Short term cash projections for the purpose of making investment decisions.
  • 2. RAHIM SULEIMAN - 2 - Phone: +255 779 000 112 Preparing, monthly board papers to be submitted to group head of treasury, highlighting, performance of the month, economic data and strategies undertaken for the month African Banking Corporation - BANC ABC May 2010 – July 2015 Treasury Senior Dealer Recruiting new customers and calling up existing customers for their daily foreign exchange demands. Attending client visits and introducing bank to new clients and catering for their foreign exchange demands. Preparing daily monthly foreign exchange volumes reports to analyze the trend of the business. Looking for new deposits at competitive rates and providing best rates to the existing deposits. In charge for assets and liabilities management In charge for risk management for both internal and regulatory requirements Oversee FX and MM trading strategies for the branch Actively investing in treasury bills Managing bank’s liquidity within approved limits Ensure all trading transactions are executed within Central Bank’s guidelines and limits Adhere to position limits as prescribed in Price Risk Package Managing BOT Statutory Minimum Reserves and balances efficiently with zero shortfalls Ensure minimum idle balances, zero overdrafts in all FCY accounts through placements, borrowings, swaps and FX deals Managing and ensuring foreign exchange is compliant with regulatory requirements Investing the forex in such a way that foreign exchange placement concentration is within the regulatory limits Review Market Access Report on daily basis for any excess on limits Analysis and presentation of interest rate trend and market triggers to management on weekly basis Actively support product and customer development Actively contribute to improvements in quality/efficiency MM/FX delivery process Ascertain future funding needs Monitor liquidity levels in branches to ensure branches operate on a sound liquidity position through report on huge cash withdrawals and reporting of big cheques issued in favor of other banks and financial institutions Short term cash projections for the purpose of making investment decisions.
  • 3. RAHIM SULEIMAN - 3 - Phone: +255 779 000 112 Preparing, monthly board papers to be submitted to group head of treasury, highlighting, performance of the month, economic data and strategies undertaken for the month. Exim Bank (T) Ltd – Temeke Branch November 2009 – April 2010 Assistant Branch Manager Responsible for day to day running of the branch. Preparing weekly, monthly and quarterly reports for the branch Responsible at looking for new deposits as well as existing deposits Responsible at granting loans and advances Preparing loan and overdraft proposals Supervising and delegating duties to a team of 10 people Responsible for strategizing the performance and position of the branch Adhering to the policies and procedures of the branch and the bank in general Responsible for marketing products and attracting new customers Maintaining a healthy and existing relationship with new and existing customers Critically analyzing the loan and overdraft proposals from existing and new clients Responsible for authorizing branch expenditures Exim Bank (T) Ltd – Temeke Branch April 2009 – November 2009 Operations Manager Responsible for handling the operations of the branch Preparing internal reports for management Reconciliation of internal accounts on a weekly basis Performing an extensive analysis on branch expenditures Handling local and foreign transfers via TISS and SWIFT respectively. Supervising and leading a team of 10 people Adhering to procedures and policies of the branch and the bank in general Assisting customers in the queries and solving them promptly Delegating duties to subordinates Assisting in preparing loan and overdraft proposals Exim Bank (T) Ltd November 2008 – April 2009 Clearing Manager Receiving instruments from central bank and validating via MICR Reconciling internal accounts for proper record keeping. Attaining customer queries and solving them promptly. Providing daily clearance reports to the higher authorities. Analyzing the daily movement in internal accounts. Communicating with customers on a one to one point incase of any query.
  • 4. RAHIM SULEIMAN - 4 - Phone: +255 779 000 112 Reconciling inter branch accounts on a weekly basis. Routine check ups on fellow colleagues, assessing their needs and performances. January 2008 – October 2008 Cash Manager Opening and Closing of Strong room on a daily basis. Receiving requests and issuing cheque books on a daily basis. Providing cash on request for inter branches. Reconciling cash reports on a daily basis. Attending customer queries and providing solutions quickly. Routine check up on tellers, assessing their needs and performances. January 2007 – December 2007 ATM Reconciliation Department Loading cash for every stand alone ATMS on a weekly basis Reconciling physical cash counted with system balances every day Preparing ATM reconciliation reports every week. Attending customer queries and providing prompt solution. Collecting retained ATM cards, issuing pin numbers and new cards. Refunding customers whose accounts have been debited but no cash has been dispensed. Checking ATM balances every day. University Of Cape Town. January 2005 – December 2006 UCT Libraries Computer Lab Navigator Assisting fellow students in Microsoft Office. Assisting fellow students in Database Searching for various assignments. Providing rapid printing, and editing documents as well as worksheets. Providing inter university library references for books that are available. Providing students with references guides once assignments have been completed. Performing basic technical jobs with computers, for instance, removing paper jams, faulty drives that have been effected with viruses.. Continuous monitoring of students to ensure that lab rules are not violated. Exim Bank (T) Ltd May 2003 - January 2004 Customer Services officer Providing efficient customer service, giving accurate balances. Printing of account statements on request. Distribution of account statements at the end of every month. Attending customer queries and providing a express solutions.
  • 5. RAHIM SULEIMAN - 5 - Phone: +255 779 000 112 Opening and Closing of accounts. EDUCATION AND RELEVANT QUALIFICATIONS: Peter Skerritt and Associates Bond Dealing Simulation, March 16th2015 – March 20th 2015 Full Value Financial Services. ACI Dealing Certificate , July 26TH 2010 – July 30TH 2010 Institute of Finance Management (IFM) Dar Es Salaam, Tanzania. Post Graduate in Financial Management October 2008 – April 2010 University of Cape Town (UCT), Cape Town, South Africa. Bachelor Of Commerce (Financial Accounting) February 2004 – December 2006 Aga Khan Mzizima Secondary School, Dar Es Salaam, Tanzania Advance level (A Levels) June 2001 – May 2003 Certificate Of Secondary Education (O Levels) January 1997-December 2000 ADDITONAL QUALIFICATIONS. Tally Accounting Package January 2001 – May 2001. EXTRA CURRICULAR ACTIVITIES. SHAWCO Volunteer at UCT January 2005 – December 2006 Member of East African Society (EASOC) at UCT January 2005 – December2006 Member of Islamic Society at UCT January 2005 – December 2006 Member of UCT Ballroom Dancing Society February 2004 – December 2005 Treasurer of Leo Club Of Mzizima June 2001 – May 2003 Vice Chairperson of Commerce Club at Mzizima January 1999- December 2000 Member with AgaKhan Social Welfare Board – Jan 2013 – Dec 2015 – Housing Committee Member with Economic Planning Board – Jan 2015 – Dec 2018 – Life Long Learning Portfolio. Member with Ismaili Tariqah Religious Education Board for Eastern Tanzania –Jan 2014 – Dec 2016 – Member for Finance and Administration, RE Primary and Secondary. References: Available On Request
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