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Job Purpose:
This is a senior position within the independent Market Risk team with responsibility to act as the backup to the Head of Group Market Risk providing quantitative analysis and insight giving assurance to the banks senior management that all risks are being measured accurately and managed/controlled in line with risk appetite meeting both internal and regulatory requirements.
The mandate will revolve around improving BAU functionality of the Market Risk Department in addition to leading the implementation of various market risk related projects .
Principal Responsibilities Accountabilities and Deliverables of Role:
Principal Responsibilities
This is a senior position within the independent Market Risk team with responsibility to act as backup to the Head of Group Market Risk providing analysis and insight on all Treasury activities and the Banks overall liquidity risks. Providing assurance to the banks senior management that all risks are being measured accurately and managed/controlled in line with risk appetite meeting both internal and regulatory requirements.
a) BAU Market Risk Management: Management and monitoring of all market risks and associated limits risk review of all investment proposals and strategy model validation Market Risk Reports for Investment Committees and GALCO
b) Projects: To be an independent SME on specific regulatory and business driven projects.
Job Requirements:
Knowledge
Education / Certifications
Experience
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