Capital Markets & Treasury

Ibdar’s Capital Markets & Treasury division manages Ibdar’s Sukuk Portfolio , Liquidity management and FX activities.

Capital Markets and Treasury team is responsible for managing Ibdar’s Sukuk portfolio in order to generate stable returns while meeting its liquidity requirements. The team has built a strong track record of risk adjusted returns on our proprietary portfolio. The Division also ensures proactive asset liability management, maintains institutional relationships including interbank counterparties, and implements effective strategies to manage Ibdar’s foreign currency and interest rate exposures.