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Hamid SABRI

LONDON

En résumé

Mes compétences :
Art
Qualité
Vin
responsible for the shareholders
Opening/Closing Accounts
Murex Financial Software
Middle Office
Equities
Derivatives
Continuous Improvement
Client Services
Business Analysis
Back Office

Entreprises

  • Mukti Consulting Limited - Business Analyst Lead

    2015 - 2017 Client: SGCIB
    Position: Business Analyst Lead Role Web internal portal migration
  • Société Générale - Business Analyst / GMI Migration

    PARIS 2014 - 2015 * A 6-month project to internally migrate a scope of 6000 client accounts between two GMI
    environments, including managing data collection for downstream applications (Web portal,
    Payment SSI, Billing application); leading a team of 2 contractors.
  • Newedge UK Financial Limited - Client Services Manager

    2005 - 2014 Employer: Newedge UK Financial Limited / FIMAT Ltd
    Initially appointed as Client Services Representative, subsequently promoted to CS Supervisor
    then CS Manager, reporting to CS EMEA Manager.

    Key Achievements:
    * Led migration of SG accounts and positions held by Fimat Frankfurt covering German market
    EUREX (over 200 accounts) into Fimat London books.
    * Revised existing standard account opening form with crucial additional information and
    defined validation process flow prior to opening and after account opening completion.
    * Set up monthly and quarterly SLR with FIMAT Account Executive and SG senior
    management to review and communicate on escalated monthly issues and establish planning
    for new developments or projects required via the SG Management channel.
    * Introduced MIS volumes and break statistics on EMEA zone monthly and quarterly with
    account ratio between active and inactive accounts.
    * Introduced analysis report on monthly IDEM (Italian) expiry equity option result confirming
    equity shapes expected for physical stock delivery (DVP).

    Client Services Manager
    * Managed team of 7 staff looking after Swiss and French based clients.
    * Managed successful reporting roll out for Swiss client ensuring rapid reporting of statement
    for automated reconciliation (MT950).
    * Led a client migration holding 7000 clearing accounts ;
    * Established MIS statistic dashboard of inactive client account and internal account transfers
    on T+1 basis enabling accurate assessment of penalty charges of EUR 98K Yearly.
    * Re-aligned clearing of US physical contract (CDS) within Newedge US based clearing
    account ensuring full compliance with US regulation.

    Client Services Supervisor
    * Managed 2 staff responsible for the shareholders accounts following the completion of
    Calyon account migration of the clearing structure of CACIB Paris, London and Hong Kong
    entities within Newedge UK.
    * Acted as escalation point for unresolved trade break, clients complain.
    * Expanded scope of SGCIB EMEA MIS report to the NA and APAC zone for quarterly Service
    Level Review and internal meeting with Business Line and rolled out to other entities.
    * Set up monthly Client Service Level Review. ;
    * Managed roll out of EUREX KOSPI future contract for SGCIB, one of first NCM to enter into
    this contract, ensuring client had relevant clearing agreement with local Korean clearer, whilst
    executing EUREX and GCM market documentation.
    * Rolled out European energy and power spot market for SGCIB following separation from JV
    arrangement and decision to clear this business with Newedge.
    * Led SGCIB migration of significant portfolio acquired from French broker within 3 days, over
    5000 lines for over 120,000 lots across all major European Derivatives Exchange.

    * Managed accurate submission of Result of Equity Option.
    * Ensured Margin calls were sent and met, validating relevant payment instructed by staff.
    * Validated commission adjustment and escalated to senior management for approval
    according to internal threshold rules.
    * Automated settlement information and outstanding / pending stock deliveries by data extract
    of client obligation sent daily by relevant CSR to client.


    Earlier Career:
  • Bank of America - Brokerage Derivative/OTC

    2004 - 2005
  • Bank of America - Brokerage & Billing Analyst

    2004 - 2005
  • Credit Lyonnais Rouse - Client Services Supervisor

    2000 - 2004
  • FIMAT - Various

    La Seyne sur mer 1989 - 1999 Technical Expertise & Qualifications:

    * GMI, Clearvision ;

Formations

Pas de formation renseignée

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