Position is based in Doha, Qatar
Key responsibilities will include:
- Set up accurate risk tools and infrastructure at each business level
- Ensure that all identified risks (credit risk, market risk, operational risk, liquidity risk) are mitigated by adequate controls through proper risk assessment methodologies
- Support regular risk monitoring and reporting to business and risk committees through the use of Key Risk Indicators, trend analysis and incident follow-up
- Ensure full compliance with Basel II and all relevant regulatory requirements
- Set up a strong Business Continuity Plan, using Business Impact Assessment
- Develop Risk Management Information System using KPI dashboards
- Implement a credit risk rating framework and Credit portfolio management policy
- Follow up and monitor all risk-related actions identified through internal / external audits and regulatory reviews
- Proactively assist the Risk Manager in achieving the department objectives
- Bachelor Degree in Banking, Finance or related subject; Additional Risk certification such as FRM or PRM will be a plus
- 3 to 5 years experience in banking, finance or consulting, with a specialization in risk management
- Very good knowledge of risk tools, best practices and International regulations
- Fluent in English (mandatory) and Arabic (preferred)
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