A Multinational Bank is currently seeking to hire Risk Officer - Market & Treasury Credit Risk with the following criteria:
· To assess and analyze market and treasury credit risks associated with the business portfolio and ensure that risks are identified, measured and addressed.
· The job holder needs to work very closely with key business and support stakeholders to assess market risk/ traded credit risk, proper analysis and control of processes, associated with the business and ensure the market risk and traded credit risk exposures are analyzed and monitored & reported accurately, the role involves projects undertaken to improve the risk control/monitoring function.
· Assist and support in the analyzing of risk measurers, exposures and build reports, insuring compliance with the agreed upon methodologies, as well as insuring that risk exposures/breaches are controlled and reported in a timely and accurate manner,
· Daily overview of all risk, exposures, portfolios, reports and overall view, escalating any issue immediately.
· Assist in checking the market risk measures (i.e. VaR, NOP) and exposures, highlighting of any issue noted.
· Contribute in Monitoring new trades, currencies, positions, etc. and the effect on various Market and treasury credit measures and exposures as required.
· Support in assuring treasury mandate required measures are calculated and defined.
· Assist in checking the analysis and risk management of treasury Credit risk measures (e.g. Issuer, MM, PFE….etc.) and exposures, highlighting of any issue noted.
· From 2 -4 Years of Banking Experience
If you are interested, please send your CV on the following mail [email protected] mentioning linkedin in the subject line & the position you are applying for.