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Skill Inventory Matrix

Enabler for Internal Mobility Program

Records
ID Sector Division Department Unit Technical Skills
879 Treasury Knowledge of liquidity planning, cash flow forecasting, and compliance with Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NSFR), and Loan to Deposit Ratio (LDR).
880 Treasury Knowledge of investment instruments and capital market risk assessment.
881 Treasury Knowledge of regulatory frameworks including Basel III, Anti-Money Laundering (AML)/Know Your Customer (KYC), and SAMA requirements.
882 Treasury Knowledge of counterparty risk assessment and FI relationship management.
883 Treasury Knowledge of ALM strategies including FTP and interest rate risk management.
884 Treasury Ability to use treasury platforms such as Bloomberg, Reuters, and Treasury Management Software (TMS).
885 Treasury Ability to optimize capital utilization within regulatory thresholds.
886 Treasury Ability to lead treasury transformation and automation initiatives.
887 Treasury Ability to build financial models and reports for strategic decision-making.
888 Treasury Interbank Knowledge of interbank lending and borrowing strategies to support short-term liquidity positioning.
889 Treasury Interbank Knowledge of money market instruments and products including call deposits, repo/reverse repo, and T-bills.
890 Treasury Interbank Knowledge of regulatory liquidity ratios (LCR, LDR, LRR)and their application.
891 Treasury Interbank Knowledge of treasury management systems such as Murex.
892 Treasury Interbank Ability to assess and mitigate market and execution risk in interbank transactions, ensuring adherence to internal limits and external regulatory expectations.
893 Treasury Interbank Ability to analyze liquidity positions and funding trends using MS Excel and Power BI.
894 Treasury Interbank Ability to operate SAMA repo and reverse repo platforms to execute secured lending/borrowing.
895 Treasury Interbank Money Market Knowledge of interbank lending, SAR/USD funding operations, and SAMA Repo/Reverse Repo mechanisms.
896 Treasury Interbank Money Market Knowledge of liquidity ratios and regulatory frameworks including LDR, LCR, and LRR.
897 Treasury Interbank Money Market Knowledge of short-term investment instruments and market dynamics affecting fund allocation.
898 Treasury Interbank Money Market Knowledge of treasury systems, cash flow forecasting tools, and performance dashboards.
899 Treasury Interbank Money Market Ability to execute borrowing and placement transactions aligned with daily liquidity needs.
900 Treasury Interbank Money Market Ability to maintain and expand relationships with financial institutions to secure favorable funding terms.
901 Treasury Interbank Money Market Ability to identify and execute profit-maximizing trades while managing maturity mismatches and interest rate risks.
902 Treasury Interbank Investment Knowledge of money market instruments, sukuks, treasury bills, and fixed income securities.
903 Treasury Interbank Investment Knowledge of economic indicators, monetary policy updates, and interest rate dynamics.
904 Treasury Interbank Investment Knowledge of treasury systems and post-trade processes, including deal execution and settlement.
905 Treasury Interbank Investment Knowledge of regulatory frameworks including SAMA guidelines, Basel III, and internal investment limits.
906 Treasury Interbank Investment Knowledge of treasury dashboards, performance reports, and investment analytics tools (e.g., Excel, Power BI, Bloomberg).
907 Treasury Interbank Investment Ability to interpret market trends and adjust investment positions accordingly.
908 Treasury Interbank Investment Ability to manage short-term and medium-term investment portfolios aligned with treasury strategies.
909 Treasury Interbank Investment Ability to coordinate with brokers, custodians, and internal teams to ensure accurate and timely transaction closure.
910 Treasury Interbank Investment Ability to generate insights, present findings to ALCO, and support investment decision-making.
911 Treasury Treasury Sales Knowledge of client relationship management, sales advisory techniques, and corporate liquidity needs.
912 Treasury Treasury Sales Knowledge of FX instruments, derivatives, and fixed income products.
913 Treasury Treasury Sales Knowledge of market data tools (Bloomberg, Reuters) and Excel-based reporting for pricing, analysis, and client reporting.
914 Treasury Treasury Sales Knowledge of cash and liquidity management strategies and Treasury Management Systems (e.g., Murex).
915 Treasury Treasury Sales Ability to deliver tailored treasury solutions, manage key accounts, and drive product adoption.
916 Treasury Treasury Sales Ability to structure, price, and execute treasury trades aligned with market trends and client needs.
917 Treasury Treasury Sales Ability to analyze trends, build dashboards, and support decision-making through data insights.
918 Treasury Treasury Sales Ability to manage liquidity positions, execute trades, and maintain compliance through TMS platforms.
919 Treasury Treasury Sales Foreign Exchange Knowledge of foreign exchange markets, trading platforms, and currency instruments (spot, forward, swaps).
920 Treasury Treasury Sales Foreign Exchange Knowledge of internal FX policies, risk limits, and regulatory frameworks such as SAMA and Basel standards.
921 Treasury Treasury Sales Foreign Exchange Knowledge of macroeconomic indicators and geopolitical events affecting currency movements.
922 Treasury Treasury Sales Foreign Exchange Knowledge of FX exposure management techniques, including hedging and risk mitigation strategies.
923 Treasury Treasury Sales Foreign Exchange Ability to execute FX trades in real-time while maintaining accuracy, control, and regulatory compliance.
924 Treasury Treasury Sales Foreign Exchange Ability to analyze currency trends and develop trading strategies based on market intelligence.
925 Treasury Treasury Sales Foreign Exchange Ability to generate FX performance reports, monitor trading KPIs, and communicate insights to leadership.
926 Treasury Treasury Sales Liquidity Mobilization Knowledge of liquidity management principles, short-term funding instruments, and mobilization techniques in line with treasury objectives.
927 Treasury Treasury Sales Liquidity Mobilization Knowledge of regulatory requirements such as LCR, NSFR, and internal liquidity risk frameworks.
928 Treasury Treasury Sales Liquidity Mobilization Knowledge of market trends, client funding behaviors, and interest rate impacts on liquidity strategy.
929 Treasury Treasury Sales Liquidity Mobilization Knowledge of treasury systems and liquidity dashboards used for real-time tracking and reporting.
930 Treasury Treasury Sales Liquidity Mobilization Ability to execute and monitor intraday and overnight liquidity transactions to ensure operational coverage.
931 Treasury Treasury Sales Liquidity Mobilization Ability to prepare and analyze daily, weekly, and monthly liquidity position reports for senior leadership.
932 Treasury Treasury Sales Liquidity Mobilization Ability to coordinate with Risk, Compliance, and Finance to align liquidity activities with governance requirements.
933 Treasury Treasury Sales Liquidity Mobilization Ability to identify and resolve liquidity discrepancies and optimize short-term capital deployment.
934 Treasury Financial Institutions Knowledge of counterparty credit risk assessment methodologies, due diligence processes, and credit line structuring.
935 Treasury Financial Institutions Knowledge of global and local regulatory requirements related to KYC, AML, and institutional onboarding compliance.
936 Treasury Financial Institutions Knowledge of cross-border payment mechanisms, SWIFT, RTGS, and trade finance instruments.
937 Treasury Financial Institutions Knowledge of liquidity and funding strategies used in institutional banking, including interbank lending and correspondent banking.
938 Treasury Financial Institutions Ability to perform market and counterparty analysis using MS Excel and Power BI dashboards.
939 Treasury Financial Institutions Ability to interpret and apply insights from Bloomberg Terminal and Reuters Eikon for treasury and institutional decision-making.
940 Treasury Financial Institutions Ability to lead and manage strategic relationships with financial institutions and central banks.
941 Treasury Assests & Liabilites Management Knowledge of methodologies for asset and liability mismatch analysis and funding strategies to manage duration gaps.
942 Treasury Assests & Liabilites Management Knowledge of liquidity risk indicators, stress testing frameworks, and daily cash flow monitoring practices.
943 Treasury Assests & Liabilites Management Knowledge of ALCO reporting requirements, internal governance standards, and regulatory expectations (e.g., SAMA, Basel III).
944 Treasury Assests & Liabilites Management Knowledge of capital structure components, hedging instruments, and risk mitigation models.
945 Treasury Assests & Liabilites Management Ability to analyze balance sheet dynamics and liquidity buffers using MS Excel and Power BI.
946 Treasury Assests & Liabilites Management Ability to develop funding and investment strategies aligned with ALCO guidance and market scenarios.
947 Treasury Assests & Liabilites Management Ability to coordinate risk mitigation plans based on liquidity forecasts, capital stress scenarios, and market volatility.
948 Treasury Treasury Reporting Knowledge of management information (MI) reporting principles and performance tracking methodologies for treasury functions.
949 Treasury Treasury Reporting Knowledge of treasury control frameworks and risk mitigation practices aligned with regulatory and operational policies.
950 Treasury Treasury Reporting Knowledge of audit, compliance, and business continuity standards relevant to treasury operations.
951 Treasury Treasury Reporting Knowledge of treasury system functionalities including testing, data reconciliation, and integration with financial systems.
952 Treasury Treasury Reporting Ability to perform data analysis and generate management reports using MS Excel and other reporting tools.
953 Treasury Treasury Reporting Ability to operate Treasury Management Systems (e.g., Murex) for real-time cash flow monitoring and liquidity tracking.
954 Treasury Treasury Reporting Ability to lead User Acceptance Testing (UAT) and validate treasury data accuracy during system upgrades and process changes.