Job Description:-
The successful candidate needs between ten to forty years relevant banking experience across risk and the front office with an impressive record of accomplishments.
Job Responsibilities:
• Develop and draft the Group’s Risk Management Policies.
• Review the different market activities of the Group and assess exposure.
• Carry out system review of Group’s activities and assessing the impact Balance Sheet.
• Measuring and monitoring risk exposure across the Front Office and market exposure.
• Manage all HR issues related to team such as: team performance, absence and training needs identification.
Qualification Requirements:
• Degree from well reputed International University, ideally financial qualifications such as MBA or CFA are preferred.
• At least ten years’ experience in either Risk Management or Front Office Capital Markets activities in the Middle East.
• Bilingual Arabic and English with French as a plus.
• Management skills.