DescriptionRole: Manager - Corporate & FI Portfolio Analytics
Location: Abu Dhabi
Role purpose:
- Portfolio analysis and creating insights from data preparation of various MIS and presentations.
- Arrange quarterly portfolio packs for review with Risk Managers Auditors Internal / External and committees.
- Ensures quality of data collection and reconciliation techniques are established for internal and external reporting.
- Quality enhancement of risk reports and automation of the reports using SAS/Python/R.
- Proficiently organize and update management reports to achieve a sound understanding of the dynamics and risks of the economy and industries in which clients within the portfolio operate
- Identify root causes/key drivers for alarming trends risk pockets portfolio quality and variances
Key accountabilities of the role:
Responsibilities:
- Accurate development of the base data files used monthly for Management and reporting
- Preparation of Risk related financial disclosures on quarterly basis including collateral risk rating IFRS 9 provisions movement of exposures ECL etc.
- Prepare MIS packs to be circulated to Business and Risk Managers on monthly/quarterly basis.
- Prepare review and update SLAs and SOPs periodically.
- Automation of reporting using SAS and create dashboard snapshots for different portfolios.
- Serve as backup of Portfolio and Risk Analytics team members.
Specialist skills / technical knowledge required for this role:
- Excellent business knowledge of the Retail and Non-Retail portfolios
- Well versed with management and regulatory reporting and banks policies and procedures
- Attention to detail accuracy oriented with sense of accountability
- Advanced users of MS Office ALGO BO CCP crystal reports and Phoenix
- Technical knowledge for using SAS/R/Python for running periodic reports and automation.
Previous experience required (if any):
- Minimum of 10 years experience is required
- Experience in Management or Regulatory reporting
- Relevant portfolio analytics and dashboard creation experience
- Advanced users of SAS/Python MS-Excel Power-point and MS Office Suite
- Experience in core-banking systems Business objects and automation of reports
- Experience in using statistical software for automation such as SAS
Required Experience:
Manager
DescriptionRole: Manager - Corporate & FI Portfolio AnalyticsLocation: Abu DhabiRole purpose:Portfolio analysis and creating insights from data preparation of various MIS and presentations.Arrange quarterly portfolio packs for review with Risk Managers Auditors Internal / External and committees.Ens...
DescriptionRole: Manager - Corporate & FI Portfolio Analytics
Location: Abu Dhabi
Role purpose:
- Portfolio analysis and creating insights from data preparation of various MIS and presentations.
- Arrange quarterly portfolio packs for review with Risk Managers Auditors Internal / External and committees.
- Ensures quality of data collection and reconciliation techniques are established for internal and external reporting.
- Quality enhancement of risk reports and automation of the reports using SAS/Python/R.
- Proficiently organize and update management reports to achieve a sound understanding of the dynamics and risks of the economy and industries in which clients within the portfolio operate
- Identify root causes/key drivers for alarming trends risk pockets portfolio quality and variances
Key accountabilities of the role:
Responsibilities:
- Accurate development of the base data files used monthly for Management and reporting
- Preparation of Risk related financial disclosures on quarterly basis including collateral risk rating IFRS 9 provisions movement of exposures ECL etc.
- Prepare MIS packs to be circulated to Business and Risk Managers on monthly/quarterly basis.
- Prepare review and update SLAs and SOPs periodically.
- Automation of reporting using SAS and create dashboard snapshots for different portfolios.
- Serve as backup of Portfolio and Risk Analytics team members.
Specialist skills / technical knowledge required for this role:
- Excellent business knowledge of the Retail and Non-Retail portfolios
- Well versed with management and regulatory reporting and banks policies and procedures
- Attention to detail accuracy oriented with sense of accountability
- Advanced users of MS Office ALGO BO CCP crystal reports and Phoenix
- Technical knowledge for using SAS/R/Python for running periodic reports and automation.
Previous experience required (if any):
- Minimum of 10 years experience is required
- Experience in Management or Regulatory reporting
- Relevant portfolio analytics and dashboard creation experience
- Advanced users of SAS/Python MS-Excel Power-point and MS Office Suite
- Experience in core-banking systems Business objects and automation of reports
- Experience in using statistical software for automation such as SAS
Required Experience:
Manager
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