Risk Manager recruitment

Role descriptionOn Risk Management, the Risk Manager performs analysis at counterparty level as well as at specific business levels; he/she assists the Risk Directors along the risk management process covering credit, liquidity, market and operational risks; Performs daily oversight and reporting on activities and exposures; he/she builds up and structures monitoring tools fit for purposes per type of risk and business;
On Financial Instrument analytics, the RM carries out in depth analysis of securities and positions as well as new instruments risk investigation; Assists the Risk Directors in the exposures management; Develops and maintains internal risk analytics and risk reports;
On Risk Systems issues, the RM is responsible for the organization and maintenance of risk parameters and static data information within risk systems (Thomson Reuters, Bloomberg).
On Data Management, he/she will work closely with the Risk Analyst in designing, implementing and maintaining a risk information collection, data management structure; enrichment methodologies and data quality controls;
On Reporting, he/she manages the preparation of risk review reporting; weekly risk dashboard, highlighting major risk exposures across the Bank's activities; Responses with adequate reporting on ad-hoc requests from Risk Directors; Develops and manages a risk management framework;Who we're looking forUniversity degree; CFA, FRM or equivalent is a plus; proficiency in English, with Arabic being a clear advantage;
10years of relevant professional experience in financial markets, risk management and data and reporting management;
Excellent analytical and reporting skills required;
Strong Excel and PowerPoint dexterity with knowledge in VBA language and Bloomberg;
Responsive and hands-on, self-motivated, committed to building a best-practice RM data management that has the right balance in terms of robustness and flexibility