IMRAN ABRAR
(: ***, **C Hill View, New MARDA Complexes, Dindoshi Hills, Goregaon
(East), Mumbai
(: +971*********; (: ***********@*******.*** ;
http://in.linkedin.com/pub/imran-abrar/28/344/440
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FIXED INCOME SECURITIES & FINANCIAL SERVICES PROFESSIONAL
Offering 15+ years of experience
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PROFILE & STRENGTHS
o Competent, diligent & result oriented professional, offering exposure
across Indian Debt/Money Market Analysis, Banks Trading & SLR Portfolio,
Fund Management, MIS Reports and Liaison & Coordination; currently
spearheading as Vice President (Fixed Income) with Sunidhi Securities &
Finance Ltd, Mumbai.
o Deft in dealing with intricacies of the Term Money Market, Call Market,
Repo Market, CBLO Segment and Liquid Mutual Funds for Cash Reserve
Requirements & Liquidity Management.
o Dexterity in providing FOREX & FIXED INCOME Market Analysis to clients
and performing Portfolio Management activities; analyzing and opining in
derivatives; formulating & implementing strategies to track flaws, and
drawing inputs to realign tactics/strategies to streamline the proper
functioning
o Expertise in strategically trading, arbitraging Gilts (Govt. Bonds),
Treasury Bills, CD's and Corporate Bonds for Trading and Fund Management;
keeping in view the Capital Market pulse for smooth running of business.
o Adept in assessing changing Corporate Environs with an insight into the
domains of Treasury Management & Fund Management; capable of establishing
new milestones through evolved Internal Control Processes.
Core Competencies
( Indian Debt/Money Market Analysis ( Treasury Management ( FOREX Market
Analysis ( Fund Management ( Portfolio Valuation ( Cash Reserve & Liquidity
Management ( Banks Trading & SLR Portfolio Management ( MIS Reports (
Liaison & Coordination (
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PROFESSIONAL EXPERIENCE
SUNIDHI SECURITIES & FINANCE LTD, WDM DEPARTMENT, MUMBAI
Feb 2010 - till date
Vice President (Fixed Income)
o Spearheading efforts across handling the entire spectrum of functions
pertaining to Indian Debt/Money Market Analysis; deftly analyzing Capital
Market for Liquidity Management and Fund Management.
o Adroitly analyzing and tracking Indian/Global Bond Market & Economy.
o Instrumental in handling of Indian Debt/Money Market; pivotal in writing
daily & Weekly market commentary & Analysis on Indian Debt market and
FOREX Market.
o Responsible for preparing financial reports on key events and data
releases to determine the Market Outlook.
o Successfully liaising, coordinating and negotiating with institutional
clients to aiding dealers in developing relationship, making efforts
across establishing healthy and close relations with them for smooth
running of the business
o Shouldering responsibilities; efficiently preparing presentations for
investors for trading and discussing arbitrage opportunities and ideas;
identified the strengths & weaknesses of the market and evaluating all
the financial activities.
o Ingeniously rendering services in technical analysis of the FOREX & Fixed
Income Market.
o Proficiently developing and maintaining healthy and cooperative working
environment within organization by assisting and coordinating with others
time to time to ensure smooth flow of business operations.
THE BANK OF RAJASTHAN LTD. MUMBAI
Sept 2001 - Jan 2010
Dy. Manager - Dealer Fixed Income & Fund Management
o Drove effort across managing Portfolio in Gilts (Govt. Bonds), Treasury
Bills, CD's and Corporate Bonds for trading and Fund Management,
determined and formulated innovative business strategies in conformity
with organizational goals, efficiently managed all financial activities
of the bank..
o Judiciously dealt in Term Money Market, Call Market, Repo Market, CBLO
segment and Liquid Mutual Funds for Liquidity Management of the
organization; efficiently reviewed the profitability of business.
o Handled intraday interest arbitrage between various liquidity products,
identified the strengths & weaknesses of the market and evaluating all
the financial activities of the bank; monitored the inflow & outflow of
funds while ensuring optimum utilization of available funds to accomplish
organizational goals.
o Assisted bank in analyzing their impact on domestic interest rates and
the banks trading and SLR portfolio; provided comprehensive business
analysis while strategically planning & implementing innovative
restructuring strategies on various financial and statutory aspects.
o Developed and monitored performance against key success metrics while
identifying and mitigating risks associated with achieving the business
plans; deftly managed Spread Analysis of Bonds between various maturity
buckets.
o Entrusted with the responsibilities of Cash Reserve & Liquidity
Management for the Bank while maintaining the C.R.R. to initiate and
control finance, projected towards organizational goals to maximize
profitability.
o Set-up internal reporting system and prepare MIS reports for monitoring
movement of key business indicators to facilitate decision making and
fruitful dissemination of information viz., Position of Funds, Market
Analysis and Portfolio Valuation.
o Strategically planned the effective line of management to achieve the
bank's targets while coordinating with various operational departments of
the bank.
THE BANK OF RAJASTHAN LTD
Dy. Manager- Dealer Fixed Income & Fund Management
Jan 2003 - Jan 2010
Asst. Manager-Credit
Sept 2001 - Jan 2003
PNR CAPITAL SERVICES LTD., NEW DELHI
Nov 1998 - Aug 2001
Sales Manager-Mortgages
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ACADEMIC & PROFESSIONAL CREDENTIALS
Certified Associate of the Indian Institute of Bankers - 2009
CAIIB
Master in Finance & Control (MFC) - 1998
Aligarh Muslim University, Aligarh
Bachelor of Commerce (Honors) - 1996
Aligarh Muslim University, Aligarh
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Date of Birth: 18th February 1975
References: Available on request.
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