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Investment Analyst/Officer - Doha

Senna
Doha, QAT
Full Time
Mid
Onsite
1 weeks ago
Investment OperationsSettlement ProcessingNOSTRO ReconciliationMIS ReportingRegulatory ComplianceAttention to Detail
Free

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Investment OperationsSettlement ProcessingNOSTRO Reconciliation
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Overview

  • This role sits within the Treasury & Investment Operations function of a public sector organisation, supporting the end to end processing and settlement of investment transactions across FEQ/PT, Bond/PT, and QE instruments.
  • The Investment Officer will work closely with the Section Head to ensure operational accuracy, regulatory compliance, and timely resolution of pending cases.

Key Responsibilities

  • Perform all operational activities assigned by the Section Head – Treasury & Investment Operations, in compliance with local regulations and internal T&I Operations policies and procedures.
  • Receive, review, and record documents approved by internal departments and stakeholders for FEQ/PT, Bond/PT, and QE transactions, in line with the approval matrix and T&I Operations Policy and Procedure guidelines.
  • Maintain accurate tracking of FEQ/PT, Bond/PT, and QE transactions by promptly recording details in the relevant pending cases file.
  • Obtain rights issue applications from the relevant T&I employees prior to rights issue investments, and review and process applications received from corresponding banks within agreed SLAs.
  • Liaise with investment dealers and stockbrokers to obtain deal confirmations through approved communication channels.
  • Coordinate with relevant internal employees to identify and rectify discrepancies in approvals and/or executed deals.
  • Maintain up to date system and hard copy records of all investment proposals received, following transaction accounting by assigned staff.
  • Support the Section Head in reviewing and investigating pending cases arising from operational errors, in liaison with relevant departments.
  • Contribute to the preparation of periodic and ad hoc reports on section activities to meet regulatory, audit, compliance, and procedural requirements.
  • Perform daily verification and reconciliation of outstanding items related to NOSTRO accounts against manual and system postings carried out by assigned employees.

Skills & Experience

  • University degree in Business, Banking, Finance, or a related discipline.
  • A Master's degree in Management or a related field is an advantage.
  • 5–8 years of experience in the financial services or banking industry, with direct responsibility in the relevant area of discipline.
  • Demonstrated experience in treasury and investment settlements operations within a banking environment.
  • Strong understanding of investment transaction processing, including FEQ/PT, Bond/PT, and QE instruments.
  • Familiarity with NOSTRO account reconciliation and MIS reporting requirements.
  • Working knowledge of regulatory and compliance frameworks applicable to treasury and investment operations.
  • Attention to detail, with the ability to manage multiple pending cases and meet operational deadlines.
  • Effective communication and coordination skills for liaising with internal stakeholders, dealers, and brokers.

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