Assistant Manager Financial Risk

Responsibility Summary:

Implementation of the ERM Framework on Credit, Market and Liquidity risk.
Stress Testing, Scenario Analysis & Valuation.
Reporting and Regulatory Enforcement (Basel II and various risk guidelines.)
Develop dashboards and implementation of regulatory reports (ICAAP Model, & Counterparty reviews.)
Risk Assessments & Monitoring on ALM controls, policies & limits.

Academic & Professional Qualifications:

Bachelor’s Degree in a business-related discipline from a recognized accredited university.
Professional risk management certification eg. Certified Financial Analyst, Financial Risk Manager.

Skills/Experience Required:

At least five (5) years’ experience in treasury, finance or credit risk management in a Bank or relevant financial institution.
Good knowledge of CBK Prudential and Risk Management Guidelines.
Experience in applying risk management principles, methodologies, and best practices in the financial industry.
Proficiency in using financial modelling, excel and data analysis tools.

Apply via :

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