Senior Financial Risk Manager
Posted date [28-Mar-2024]
(ID: 1659324)
JOB DESCRIPTION
Requirements:
•University degree in Finance/Accounting/Commerce/Math, ideally MBA in
Finance.
•At least 10 years of experience in financial risk in a financial institution in the GCC.
•Familiar with financial applications such as Bloomberg, Style Advisor, Baseline, Advent Axys, Wilshire Atlas, Factset and Microsoft Access or other database applications.
•Excellent Excel skills and possibly some statistical/mathematical software (e.g., Matlab and Measurisk would be an advantage).
•Proficiency in Quantitative Methods & Econometrics.