Sector/القطاع:
Macroprudential / مراقبة المخاطر الكلية
Posted in: 16/03/2021 Expire in: 23/03/2021
Required Qualifications/متطلبات إشغال ال
وظيفة• Minimum Master degree in economics from a reputable university. PhD candidate is preferred.
• (4-13) years of research experience in Egyptian macroeconomics that includes work with data extraction and preparation, analysis of aggregate macroeconomic developments and impact on the financial system writing macroeconomic risk notes and research papers.
• Background in econometric modeling and proficiency with one of the econometric packages (Eviews is preferred).
• Knowledge of macroprudential policy and its interactions with other macroeconomic policies (monetary and fiscal) is a preferred asset.
• Strong writing skills in English and Arabic.
Responsibilities and duties/القدرات والمهارات المهنية
• Analyze and monitor the aggregate Egyptian economy (GDP balance of payments, government budget etc.) including its structure main drivers and sources of shocks (domestic regional and global) and its developments.
• Analyze the potential interlinkages between macroeconomic developments and the banking sector.
• Issue economic notes describing the main macroeconomic imbalances, shocks and risks that could affect the banking sector stability.
• Conduct ad-hoc studies to analyze new developments and trends build-up (domestic regional and global) that could affect the Egyptian economy and has potential repercussions on the banking sector.
• Participate in the preparation of the annual Financial Stability Report.