Head of Risk Management
Posted date [29-Mar-2024]
(ID: 1659638)
JOB DESCRIPTION
Requirements:
•University degree in Mathematics, Actuarial Science, Finance, Accounting, Economics or Business Administration with specialization in financial management.
•Professional qualification such as CFA/CPA/CA is preferable, though professional accreditation of FRM and PRM will be an added advantage.
•At least 8-10 years of experience in an investment bank in a similar capacity in the GCC.
•Sound knowledge of financial markets, investment management and the GCC market.
•Knowledge and understanding of Basel II guidelines is essential.