Market Risk Analyst Manager, Regulatory Compliance Engineer – IT Collaboration APIOPS Analyst Bank Applications Analyst Business Intelligence & Strategy Monitoring T24 Developer Infrastructure Security Engineer Cloud & IOT Security Engineer

Job Purpose Statement

The role will support coordination and implementation of the Kenya Group’s market, liquidity and country risk management policies and processes through assessment, identifications, measurement and reporting financial risks in the banks trading and investment portfolio.

Ideal Job Specifications
Academic:

At least an undergraduate degree or its equivalent in Mathematics, Finance, Banking, Economics, Business Administration (with a major in Finance) or similar quantitative disciplines.
Post graduate qualifications such as FRM, CFA and MBA will be an added advantage.

Professional:

CPA (K) /ACCA qualification a must
CIFA/CISI/FRM Certification desirable.

Desired work experience:

Exposure to Treasury Front Office/Back Office and General Ledger reporting systems.
Professional experience in market risk within an investment bank.
Preferably a minimum of 5 years of relevant professional experience in banking and/or finance, including at least 2 years in Financial Markets/Product Control/Investment banking related areas.
Experience with MS office and Treasury trading systems/ Investment banking systems.

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