Manager- Market Risk and Liquidity Risk

Manager- Market Risk and Liquidity Risk

12 Oct
|
Warner Scott Recruitment
|
Dubai

12 Oct

Warner Scott Recruitment

Dubai

As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity ROLE & RESPONSIBILITIES

As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity risk.

Project and Team Related

- Manage multiple FRM projects and ensure all engagements are planned and delivered within budget and on time
- Own and implement initiatives around market and liquidity risks






- Manage teams as well as senior client stakeholders and be responsible for delivering high quality results and generating effective and impactful solutions
- Play a key role in the development of less experienced staff through mentoring, training and advising
- Remain current on new developments in Risk advisory services capabilities and financial industry knowledge.

Business Development

- Establish, maintain and strength internal and external relationships
- Identify possible opportunities and direct purist for new client opportunities

II. THE INDIVIDUAL

- Thorough understanding of Market Risk and Liquidity Risk
- Experience in Quantitative Analytics, Market Risk Models including VaR, FRTB, IRRBB, CVA
- Experience in Liquidity management including liquidity gap, ALM, FTP, ILAAP
- Experience with risk models development and validation
- Good understanding of Spot and Derivative markets operations for equities, interest rate, credit,modities and foreign exchange products;

Risk management (hedging strategies) and valuation aspects of the same

- Prior experience in Financial Modeling






- Good understanding of local and international regulatory requirements including Basel and CBUAE guidelines
- Strong analytical and problem-solving skills
- Prior experiences in managing and motivating a team in risk related areas, with clear leadership in market and liquidity risks
- Strong ability to map client business requirements and convert the same to a viable business proposition
- Exposure to business development in consulting (Pre-sales support, proposals, RFP responses)
- Strongmunication skills with client facing experience.
- Ability to work under pressure and manage multiple projects at a time
- Demonstrate integrity, values, principles, and work ethic and lead by example

III. QUALIFICATIONS







- As a minimum a bachelor's degree in a relevant field including Finance, Financial Engineering, Economics, Applied Mathematics or similar.
- 7+ years of strong financial risk management / Quantitative analysis experience within a financial institutions or Consultancy / big 4 firms
- Professional certification in FRM, PRM, CFA is rmended but not mandatory
- Aptitude for quantitative analysis and strong numerical skills with evidence of advanced financial modeling skills
- Experience in analytical and risk management tools / systems ( Python, R, SAS, MATLAB, Calypso, Murex, etc.)

IV. WHAT WE OFFER YOU







- A professional work environment full of challenges and development opportunities
- Apetitive salary and benefits package

Job ID AET05072024

▶️ Manager- Market Risk and Liquidity Risk
🖊️ Warner Scott Recruitment
📍 Dubai

Subscribe to this job alert:
Enter Your E-mail address to receive the latest job offers for: manager- market risk and liquidity risk

Manager- Market Risk and Liquidity Risk

Manager- Market Risk and Liquidity Risk

As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity ROLE & RESPONSIBILITIES As Manager within the Fin [...]
Dubai
12 Oct
    Dubai
    12 Oct

Manager- Market Risk and Liquidity Risk

Manager- Market Risk and Liquidity Risk

I. ROLE & RESPONSIBILITIES As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity risk. Project and T [...]
Dubai
19 Oct
    Dubai
    19 Oct

Manager- Market Risk and Liquidity Risk

Manager- Market Risk and Liquidity Risk

I. ROLE & RESPONSIBILITIES As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity risk. Project and T [...]
Dubai
19 Oct
    Dubai
    19 Oct

Manager- Market Risk and Liquidity Risk

Manager- Market Risk and Liquidity Risk

I. ROLE & RESPONSIBILITIES As Manager within the Financial Risk Management ("FRM") Team your role involves developing and implementing risk solutions for financial institutions clients with a focus on market risk and liquidity risk. Project and T [...]
Dubai
19 Oct
    Dubai
    19 Oct
Subscribe to this job alert:
Enter Your E-mail address to receive the latest job offers for: manager- market risk and liquidity risk